Components First Trust ISE Global Wind Energy Index Fund ETF - USD

ETF

FAN

US33736G1067

Market Closed - Nyse 04:10:00 2024-04-25 pm EDT 5-day change 1st Jan Change
15.11 USD -0.07% Intraday chart for First Trust ISE Global Wind Energy Index Fund ETF - USD +1.61% -8.31%

Composition of First Trust ISE Global Wind Energy Index Fund ETF - USD

Weight
18.48 EUR +3.84%+4.46%+53.38%-.--%
110.4 EUR +5.24%+2.05%-17.93%-.--%
183.8 DKK +3.48%+3.90%-14.30%10.19%
13 EUR +3.01%+1.33%-29.82%8.29%
20.67 CAD -3.68%-1.52%-14.13%7.14%
395.1 DKK +3.97%+2.26%+5.21%6.71%
5.72 HKD -4.19%+0.35%-3.38%3.80%
27.16 CAD -1.49%+0.30%-19.36%3.46%
25.16 EUR +2.95%+3.54%-12.82%2.64%
224.5 SEK +2.23%+2.19%+11.43%2.32%
11.61 EUR +1.31%+2.12%-2.44%2.18%
16.2 EUR +0.72%+1.66%+1.74%2.18%
161.3 USD +1.30%+5.44%+26.35%2.17%
3.543 EUR +1.40%-1.77%-22.22%2.14%
6.118 EUR +0.96%+2.70%-9.12%2.14%
51.2 EUR +3.56%+1.59%+24.36%2.14%
32.48 EUR +1.87%-0.34%-21.47%2.12%
13,475 JPY +1.81%+1.09%+32.50%2.09%
84.85 USD -1.36%+0.78%+5.86%2.02%
165 USD -0.11%+2.82%+11.34%2.01%
64.18 USD +1.49%+4.53%-12.98%1.92%
702.8 JPY +0.60%-1.67%-4.13%1.88%
66.9 USD +0.51%+4.51%+10.14%1.83%
12.68 EUR +2.38%+2.86%+20.96%1.82%
136.7 CHF +0.22%-3.47%-8.70%1.74%
7.97 CAD -2.69%-1.12%-13.28%1.70%
207.5 TWD +3.75%-3.71%+18.91%1.65%
18.23 EUR +0.72%+1.28%+14.65%1.45%
29.84 EUR +1.63%-0.33%-1.45%1.21%
5.62 USD -1.58%+1.44%-26.63%1.08%
52.7 NOK +2.53%+7.55%+12.32%0.99%
50,600 KRW -2.50%-0.98%-27.92%0.97%
1.65 HKD +0.61%+1.85%-8.33%0.83%
63.85 EUR +1.51%+2.74%-22.97%0.81%
0.6 HKD -1.64%-1.64%-6.25%0.77%
3.22 HKD 0.00%+0.31%+13.38%0.32%
7.261 SEK +0.96%-1.93%-9.55%0.23%
2.39 USD -3.24%-11.15%-42.27%0.21%
916 KRW +0.66%-6.91%-30.40%0.17%
7,900 KRW -3.19%-1.13%-28.25%0.17%
6.92 EUR +1.91%-0.58%+6.14%0.16%
2.734 NOK +4.27%-15.20%-37.24%0.15%
0.75 HKD 0.00%+7.14%-53.99%0.13%
0.55 BRL -1.79%0.00%-38.89%0.10%
2,930 KRW -0.85%0.00%-5.02%0.03%
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Description

US33736G1067
Total Expense Ratio 0.61%
Asset Class
Sector
Size
Currency
Provider
Underlying ISE Global Wind Energy Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2008-06-15
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 175 M€
AuM 1M 176 M€
AuM 3 months 196 M€
AuM 6 months 189 M€
AuM 12 months 260 M€
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