Components iShares Core MSCI Taiwan Index ETF - USD

ETF

9074

HK0000297793

Market Closed - Hong Kong S.E. 04:09:00 2024-05-03 am EDT 5-day change 1st Jan Change
24.62 USD +1.40% Intraday chart for iShares Core MSCI Taiwan Index ETF - USD +2.27% +5.29%

Composition of iShares Core MSCI Taiwan Index ETF - USD

Weight
790 TWD -0.63%+6.47%+33.22%30.83%
992 TWD -2.27%+2.69%-2.27%5.34%
156 TWD -1.58%+9.09%+49.28%4.44%
320.5 TWD -0.16%+6.83%+2.23%2.09%
50.7 TWD +0.60%+3.68%-3.61%2.02%
260 TWD -0.57%+13.04%+15.81%2.01%
69.1 TWD -0.43%+4.38%+6.64%1.73%
34.1 TWD -0.44%+8.77%+20.28%1.71%
124 TWD -0.40%-1.20%+3.33%1.56%
40 TWD -0.25%+1.27%+2.04%1.50%
50.5 TWD -0.59%+4.34%+10.38%1.50%
148 TWD +0.68%+2.42%+9.63%1.42%
27.4 TWD -0.90%+1.29%+6.20%1.24%
76.5 TWD -1.03%-3.04%+2.68%1.23%
430 TWD +0.94%+3.99%-12.16%1.18%
24.85 TWD -0.60%+0.61%-7.96%1.09%
56.7 TWD -1.56%-1.05%-14.74%1.09%
68.5 TWD -1.15%-1.72%-13.51%1.04%
27.35 TWD -0.55%+0.92%-0.18%1.03%
618 TWD -1.12%+7.67%+19.54%1.02%
172.5 TWD -0.86%-.--%-10.62%0.99%
2,185 TWD -0.68%+3.55%-23.87%0.96%
30.65 TWD -1.29%+2.51%+11.05%0.95%
26.2 TWD -0.76%+0.38%-1.87%0.95%
461.5 TWD +3.13%+20.03%-11.76%0.91%
113.5 TWD -0.44%+4.61%+15.11%0.86%
182 TWD -1.09%+8.66%+3.41%0.83%
3,120 TWD -0.16%+12.84%-4.73%0.82%
100 TWD -0.99%+3.31%-14.53%0.82%
32.05 TWD -0.93%-1.69%-8.03%0.81%
518 TWD -1.71%+2.78%+9.86%0.78%
55.5 TWD -0.54%+0.73%-10.91%0.76%
620 TWD -0.32%+1.47%-12.55%0.74%
21.95 TWD -.--%+1.15%+11.42%0.71%
17.95 TWD +0.56%+1.70%-0.83%0.70%
625 TWD -0.95%+4.34%+4.69%0.69%
13.65 TWD +0.37%+1.11%+8.76%0.69%
23.65 TWD +1.07%+3.96%+5.82%0.68%
46.45 TWD +0.11%+1.98%-0.75%0.62%
97.7 TWD -0.81%+3.39%+11.91%0.61%
2,360 TWD -.--%+9.26%+29.32%0.60%
380 TWD -.--%+3.12%+2.15%0.59%
210 TWD -4.76%+1.45%+6.60%0.58%
104 TWD -.--%-0.48%+5.48%0.58%
2,225 TWD -.--%+12.66%-9.18%0.55%
35.8 TWD -1.51%+4.68%-10.16%0.55%
436.5 TWD +9.67%+32.07%-12.70%0.54%
45.15 TWD -1.20%+4.15%-16.08%0.53%
274 TWD -0.90%-1.26%+1.67%0.52%
1,370 TWD +0.74%+23.98%-21.26%0.51%
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Description

HK0000297793
Total Expense Ratio 0.30%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Taiwan 20/35 NTR Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2016-06-21
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 2024-03-26 )

AuM (EUR) 44 M€
AuM 1M 42 M€
AuM 3 months 45 M€
AuM 6 months 45 M€
AuM 12 months 47 M€
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