Components First Trust Nasdaq Pharmaceuticals ETF - USD

ETF

FTXH

US33738R8372

Market Closed - Nasdaq 04:15:00 2024-04-26 pm EDT 5-day change 1st Jan Change
25.91 USD +0.25% Intraday chart for First Trust Nasdaq Pharmaceuticals ETF - USD +0.19% -2.64%

Composition of First Trust Nasdaq Pharmaceuticals ETF - USD

Weight
25.4 USD +0.55%-2.31%-11.77%-.--%
103.2 USD -0.58%-4.60%+2.39%-.--%
159.6 USD -4.58%-4.08%+3.00%7.75%
131.2 USD +0.37%+4.31%+20.34%7.55%
146.1 USD -0.46%-1.20%-6.76%7.00%
44.85 USD +0.34%-8.34%-12.59%5.95%
397.5 USD -0.06%+0.81%-2.31%4.20%
733.5 USD +1.19%+0.99%+25.83%3.92%
11.57 USD +0.87%+2.84%+6.83%3.91%
883.2 USD -0.84%-1.52%+0.56%3.88%
65.42 USD +0.23%-2.01%-19.24%3.82%
158.4 USD +3.30%+8.14%-19.73%3.59%
208.9 USD +3.18%+7.47%-19.27%3.39%
109.5 USD +1.89%-0.44%-11.01%3.12%
233.8 USD -0.89%-1.71%+6.35%2.99%
229 USD +0.54%+0.99%-3.12%2.26%
51.68 USD +0.98%-1.28%-17.69%2.18%
395.9 USD +1.58%+6.43%+29.17%1.61%
18.55 USD +0.71%+4.10%+28.64%1.56%
23.7 USD +0.72%+5.24%-1.21%1.15%
31.94 USD +2.14%+3.70%-0.75%0.94%
38.57 USD +0.29%-0.18%+4.36%0.90%
70.47 USD +0.47%+1.15%+15.11%0.78%
55.92 USD +0.22%+0.79%+24.46%0.76%
136 USD -1.28%+3.02%+3.21%0.63%
41.59 USD -0.60%+2.24%-17.79%0.62%
13.26 USD +1.69%+2.39%-11.01%0.62%
73.26 USD +1.57%+1.23%+2.29%0.61%
41.11 USD +0.69%+2.75%-33.53%0.58%
60.72 USD +1.10%-0.18%-3.31%0.57%
24.68 USD +0.98%+3.48%-11.03%0.52%
10.28 USD +1.08%-3.11%-27.55%0.52%
80.91 USD -1.53%-8.71%-16.09%0.52%
71.71 USD +0.27%+5.61%-9.90%0.50%
108 USD +1.69%+6.47%+8.57%0.48%
156.9 USD +0.77%-1.04%+26.45%0.48%
11.03 USD +1.38%+5.45%-1.78%0.48%
42.49 USD +0.57%+0.71%-29.64%0.47%
143.3 USD -0.28%-0.76%-25.13%0.47%
58.85 USD +0.10%-3.46%-20.45%0.43%
1.47 USD +6.52%-5.16%-85.02%0.41%
35.96 USD +1.78%+2.98%+25.38%0.41%
122.3 USD +1.02%+4.13%-12.18%0.39%
128.8 USD +1.08%+11.37%+33.54%0.39%
17.35 USD +1.11%+7.97%-35.86%0.32%
28.07 USD +0.32%+0.29%-2.80%0.24%
19.74 USD +4.28%-4.91%-15.46%0.23%
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Description

US33738R8372
Total Expense Ratio 0.60%
Asset Class
Sector
Size
Currency
Provider
Underlying NASDAQ US Smart Pharmaceuticals Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2016-09-19
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 19 M€
AuM 1M 19 M€
AuM 3 months 17 M€
AuM 6 months 19 M€
AuM 12 months 30 M€
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