Components Virtus LifeSci Biotech Clinical Trials ETF - USD

ETF

BBC

US26923G3011

Delayed Nyse 04:10:00 2024-04-23 pm EDT 5-day change 1st Jan Change
25.63 USD +1.80% Intraday chart for Virtus LifeSci Biotech Clinical Trials ETF - USD -2.87% +4.90%

Composition of Virtus LifeSci Biotech Clinical Trials ETF - USD

Weight
39.9 USD +0.95%-1.24%+156.92%2.25%
67.35 USD +2.71%-1.77%-20.07%1.54%
11.94 USD +0.72%+0.89%+46.43%1.53%
8.315 USD +7.99%+2.46%+0.24%1.52%
8.535 USD +5.50%+2.06%+106.62%1.51%
19.06 USD +14.31%+5.69%+85.44%1.50%
25.66 USD +0.88%+2.94%+92.11%1.45%
65.68 USD +1.15%-1.16%+253.04%1.43%
12.69 USD -2.01%-8.74%+5.14%1.43%
56.64 USD +2.63%-4.30%+42.66%1.39%
11.41 USD -0.17%-5.08%+32.44%1.39%
41.46 USD +1.58%+0.84%+50.53%1.34%
64.58 USD +0.05%+0.19%+238.85%1.31%
15.88 USD -2.13%-1.68%+64.55%1.28%
25.48 USD +1.37%+7.98%+180.99%1.28%
24.82 USD +0.04%-1.98%+22.41%1.24%
18.88 USD +0.80%+4.50%+30.74%1.23%
3.115 USD -7.57%-11.25%-2.96%1.21%
22.62 USD -0.24%+3.62%+25.06%1.21%
35.42 USD -0.81%+4.47%+38.53%1.21%
3.665 USD -1.74%+2.38%+40.04%1.21%
6.475 USD +1.33%-1.83%+3.71%1.14%
8.065 USD +4.74%+7.36%-18.66%1.10%
6.93 USD -0.43%+5.51%+17.18%1.08%
47.39 USD -4.78%-8.71%+68.27%1.07%
27.42 USD -1.84%-1.88%-13.99%1.04%
26.01 USD -3.13%+1.67%+13.38%1.01%
34.34 USD +0.62%-1.10%-9.92%1.00%
19.1 USD -0.39%-11.22%-11.02%0.99%
40.4 USD +0.64%+5.90%-0.28%0.98%
8.005 USD -2.97%-6.15%-8.51%0.98%
8.685 USD +1.46%-2.71%-17.13%0.98%
33.33 USD -1.97%-0.60%-19.22%0.98%
40.19 USD +3.00%-1.15%+11.61%0.96%
161.8 USD -0.16%-4.57%+30.49%0.96%
37.48 USD -0.78%-5.39%-5.46%0.95%
2.395 USD -1.84%+0.53%+23.32%0.92%
60.49 USD -0.64%-3.09%-3.66%0.92%
8.345 USD -4.85%-14.86%-9.67%0.92%
10.24 USD -1.73%0.00%-2.85%0.90%
9.98 USD -3.11%-4.68%-41.47%0.90%
53.98 USD -0.84%+0.58%-2.95%0.89%
15.94 USD +2.81%-1.31%+6.58%0.89%
14 USD -0.96%-0.99%+35.08%0.89%
39.25 USD +0.67%-10.92%-8.90%0.87%
20.88 USD -0.41%+0.48%-3.56%0.87%
18.96 USD +3.21%-2.20%-12.15%0.86%
1.425 USD +1.79%+6.87%+4.48%0.86%
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ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2014-12-15
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-26 )

AuM (EUR) 11 M€
AuM 1M 12 M€
AuM 3 months 10 M€
AuM 6 months 8 M€
AuM 12 months 11 M€
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