Components iShares Core MSCI Emerging Markets ETF - USD

ETF

IEMG

US46434G1031

Market Closed - Nyse 04:00:00 2024-05-24 pm EDT 5-day change 1st Jan Change
54.02 USD +0.33% Intraday chart for iShares Core MSCI Emerging Markets ETF - USD -1.69% +6.80%

Composition of iShares Core MSCI Emerging Markets ETF - USD

Weight
867 TWD -0.91%+3.83%+46.21%5.75%
75,900 KRW -3.07%-1.94%-3.31%3.52%
377 HKD -1.26%-4.56%+28.41%3.03%
2,960 INR -0.39%+3.17%+14.53%1.15%
157.6 USD +2.56%+7.78%+7.70%1.06%
1,132 INR -0.22%+0.11%+13.58%0.75%
1,465 INR -0.50%+1.49%-5.04%0.74%
198,600 KRW -0.70%+4.58%+40.35%0.72%
1,517 INR +1.65%+3.49%-11.24%0.70%
5.81 HKD -0.68%-0.68%+24.95%0.69%
65.08 BRL +2.76%-1.66%-15.70%0.65%
116.3 HKD -2.68%-6.96%+42.00%0.64%
1,195 TWD -0.83%+2.58%+17.73%0.61%
79.1 SAR -1.37%-1.37%-8.55%0.55%
176 TWD +1.73%+3.53%+68.42%0.51%
3,850 INR -1.13%-0.05%+1.48%0.50%
36.61 BRL -5.49%-0.22%-1.69%0.44%
9,425 IDR +0.53%-3.33%+0.27%0.41%
31.85 BRL -0.96%-4.15%-6.24%0.41%
3,902 ZAR -0.14%-0.16%+24.73%0.39%
4.66 HKD -0.85%-1.06%+21.99%0.38%
18.3 HKD -3.38%-8.22%+17.31%0.37%
1,174 INR +0.80%+2.72%+6.46%0.37%
3.89 HKD -0.51%+0.78%+30.54%0.37%
33.95 SAR -3.41%-4.63%-12.16%0.37%
208 HKD -1.70%-6.56%-2.99%0.35%
3,626 INR +1.11%+4.67%+2.80%0.35%
1,389 INR +1.07%+3.00%+34.44%0.34%
381,500 KRW -1.55%-4.15%-23.62%0.34%
2,370 INR -0.45%+1.83%-11.02%0.32%
164.4 MXN +2.64%-5.86%-3.70%0.32%
4,720 IDR +0.85%-4.07%-17.55%0.31%
194.1 MXN -0.94%-2.59%-12.18%0.31%
1,703 INR -0.33%+0.39%-10.75%0.31%
6,837 INR +0.15%+1.47%-6.70%0.29%
29.95 SAR -0.33%+0.67%-9.24%0.28%
179,000 KRW -1.70%-4.43%-20.09%0.27%
0.863 KWD -0.80%-1.37%+1.36%0.27%
65.07 MXN -1.99%-4.17%-9.08%0.26%
267,500 KRW -1.47%+9.63%+31.45%0.26%
36.85 SAR -2.51%-3.03%-8.79%0.26%
5754220c37c70f3640fa5cb07be36a.3TwRqRwPDvfZkxl5OV9juN5BbLJe0i6TGvoPCApnSXM.6AhE0EhnRq2-yU4KdxhbgLwTVfsZtUH1Lcs8MHMmBALobCnoaWJRpqHRfg

ETF Ratings

Description

US46434G1031
Total Expense Ratio 0.09%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Emerging Markets IMI Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2012-10-16
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 71,673 M€
AuM 1M 71,353 M€
AuM 3 months 66,132 M€
AuM 6 months 63,132 M€
AuM 12 months 63,156 M€
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