Components IQ Global Resources ETF - USD

ETF

GRES

US45409B8836

Delayed Nyse 5-day change 1st Jan Change
- USD -.--% Intraday chart for IQ Global Resources ETF - USD -0.24% -4.07%

Composition of IQ Global Resources ETF - USD

Weight
119.6 USD +1.42%-0.76%+19.66%5.06%
71.83 USD +1.73%+3.49%-0.83%4.89%
43.29 AUD +0.74%-4.86%-14.12%3.92%
166.3 USD +0.27%+2.72%+11.51%3.48%
5,457 GBX +0.07%+1.32%-6.59%2.69%
2,888 GBX -0.55%-0.67%+12.29%2.37%
60.69 USD +0.98%-2.90%-15.97%2.22%
38.65 USD +1.28%+1.31%+4.52%2.08%
70.23 USD -0.85%-1.32%+7.81%2.02%
473.4 GBX +0.84%-0.31%+0.29%1.90%
69.25 EUR -0.33%+1.99%+12.42%1.76%
120.8 USD +3.34%+8.31%+40.41%1.70%
130.2 USD -0.02%+0.69%+12.19%1.63%
73.91 CAD +2.90%+3.10%-0.99%1.59%
52.41 USD +3.78%+7.07%+23.11%1.55%
523.3 GBX -0.29%+0.15%+12.26%1.22%
175.2 USD -0.10%-8.55%+0.69%1.18%
17.46 HKD -0.91%+3.56%+37.26%1.11%
5,838 JPY +1.09%+3.86%+7.44%1.10%
35.42 USD +0.28%+0.80%+10.31%1.09%
25.86 AUD +0.74%+5.00%-10.99%1.09%
300.2 NOK -1.15%+1.13%-6.83%1.08%
221.7 USD +0.26%+1.08%+11.76%1.08%
58.21 USD +0.83%+0.40%+4.11%1.05%
2,654 GBX +0.72%+5.91%+12.13%0.97%
60.96 USD +0.54%+0.58%+13.41%0.95%
49.21 USD +0.02%-0.61%-5.44%0.93%
187.5 USD -0.11%+5.19%+12.29%0.87%
2,750 GBX +4.05%+27.31%+39.55%0.86%
42.26 USD -1.10%+12.81%+2.10%0.86%
136.2 USD +0.41%+1.76%+12.65%0.85%
3.34 SGD -3.75%-2.05%-6.44%0.82%
80.85 EUR +0.87%+0.06%+2.78%0.82%
33.06 EUR +0.24%+2.67%-2.94%0.82%
49.15 CAD +0.39%+1.49%+3.04%0.80%
23.69 CAD +1.41%+5.24%-1.04%0.79%
106.8 CAD +0.29%+1.58%+23.06%0.78%
200.5 USD +1.07%+1.14%+35.15%0.74%
30.94 USD +0.68%-0.51%+7.96%0.72%
30.86 USD +2.02%+0.39%-13.63%0.65%
68.23 USD +0.66%+1.84%+14.27%0.64%
273.6 USD +1.76%+0.03%+21.66%0.63%
44.93 USD +0.18%-0.42%+3.93%0.63%
15.27 EUR 0.00%-0.43%-0.48%0.62%
65.81 USD +0.44%+5.70%+19.98%0.61%
151.5 USD +0.09%-3.51%+13.82%0.60%
3,468 JPY +0.70%-0.63%+7.43%0.59%
24.05 EUR +1.26%-0.25%-6.33%0.59%
35.32 USD +4.40%+1.61%-2.30%0.57%
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Description

US45409B8836
Total Expense Ratio 0.31%
Asset Class
Sector
Size
Currency
Provider
Underlying IQ Global Resources Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2009-10-26
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2023-10-30 )

AuM (EUR) 36 M€
AuM 1M 41 M€
AuM 3 months 30 M€
AuM 6 months 31 M€
AuM 12 months 37 M€
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