Components First Trust RiverFront Dynamic Europe ETF - USD

ETF

RFEU

US33739P8068

Market Closed - Nasdaq 04:15:00 2024-04-30 pm EDT 5-day change 1st Jan Change
63.17 USD -2.62% Intraday chart for First Trust RiverFront Dynamic Europe ETF - USD -1.19% -0.29%

Composition of First Trust RiverFront Dynamic Europe ETF - USD

Weight
92.2 CHF +0.13%-1.75%-5.45%4.03%
832.7 EUR -1.77%+2.40%+22.15%3.75%
89.05 CHF +0.20%+1.93%+4.93%2.99%
220.6 CHF -0.27%-2.30%-9.78%2.67%
774.4 EUR -0.62%-2.81%+5.56%2.65%
68.59 EUR -0.95%+1.02%+11.35%2.48%
4,166 GBX +0.62%+7.76%+9.49%1.95%
266.6 EUR +0.11%-0.04%+10.19%1.90%
3,290 GBX -0.39%-2.40%+5.57%1.62%
10.18 EUR -6.65%-2.44%+23.69%1.45%
110.2 EUR -0.32%-2.91%-3.03%1.39%
6.181 EUR -0.31%+2.18%-8.16%1.33%
2,856 GBX -0.70%-0.24%+17.80%1.31%
15.14 EUR -0.90%-1.33%-1.38%1.30%
2,348 GBX -0.15%-0.55%+2.24%1.28%
39.26 EUR +0.93%+1.58%-12.47%1.25%
70.94 EUR -5.15%-4.38%+13.41%1.21%
1,058 GBX +0.95%-0.23%-0.08%1.20%
3,228 GBX -0.49%-1.59%+0.59%1.16%
140.8 EUR -0.28%-0.42%+9.36%1.14%
299 NOK -0.40%+0.72%-7.20%1.11%
102.4 EUR -4.07%-3.21%+1.66%1.11%
12,197 GBX +1.12%+8.00%+14.81%1.09%
297.1 GBX +0.27%+1.02%+1.89%1.08%
1,190 CHF -0.83%+0.72%-1.94%1.07%
21.49 EUR -1.38%-0.56%-1.20%1.03%
56.22 SEK -0.46%-1.71%-10.92%0.99%
621 CHF -0.32%+0.84%+6.34%0.98%
701 GBX +0.77%+4.94%+10.25%0.96%
243.7 CHF -0.33%-4.21%-15.91%0.94%
10.42 EUR -0.48%-5.70%+1.17%0.93%
4.206 EUR -0.99%+2.71%+19.02%0.89%
503.5 CHF -0.69%-3.17%-0.49%0.85%
1,232 SEK +0.61%-4.86%+2.48%0.82%
10,025 DKK -1.62%+2.02%-17.66%0.82%
103.8 GBX +1.12%-2.94%-15.98%0.80%
74.86 EUR -0.56%+0.40%-10.05%0.76%
17.1 EUR -0.20%-0.26%-7.37%0.76%
70.7 EUR -0.28%+2.24%+9.36%0.75%
2,726 GBX -0.09%-2.75%+1.42%0.74%
17.38 EUR -3.92%-1.47%-6.91%0.73%
15.79 EUR -0.63%-1.96%-4.68%0.72%
131.9 GBX +0.02%-1.40%-10.25%0.72%
169.7 EUR -1.00%+2.17%+21.67%0.71%
44.68 EUR +2.52%+2.43%+12.35%0.71%
699 GBX +0.09%+0.52%-3.16%0.70%
115.2 EUR -4.64%-5.07%+3.00%0.69%
641b80e8a03c6e3244ce73a06aa3f.vCJr2H9477ZbJtXPwNZWua4p2VMPe9TcLP90QKtLXpA.0UYbkCgCoOY4bL6CrL8jweFlkAlZM5m6fJFZc8QjJ8X1bS2vPTekwCFXnA

Description

US33739P8068
Total Expense Ratio 0.83%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
2016-04-12
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 9 M€
AuM 1M 9 M€
AuM 3 months 9 M€
AuM 6 months 8 M€
AuM 12 months 8 M€
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