Components iShares Developed Markets Property Yield UCITS ETF (Accumulating) - USD

ETF

DPYA

IE00BFM6T921

Market Closed - London S.E. 11:35:05 2024-04-26 am EDT 5-day change 1st Jan Change
5.094 USD +0.96% Intraday chart for iShares Developed Markets Property Yield UCITS ETF (Accumulating) - USD +0.91% -8.68%

Composition of iShares Developed Markets Property Yield UCITS ETF (Accumulating) - USD

Weight
104.1 USD +0.69%+0.55%-21.94%8.00%
94.34 USD +0.36%+3.31%+4.62%3.13%
257.7 USD -0.37%-1.02%-15.50%3.09%
142.4 USD -0.26%+1.37%-0.20%3.00%
53.71 USD -0.17%+1.26%-6.46%2.72%
142.8 USD +0.95%+4.39%+6.13%2.63%
133.5 USD -0.27%+0.76%-16.75%2.17%
28.47 USD -0.28%+2.08%-10.70%2.13%
191.4 USD +0.07%+3.98%+2.26%1.72%
65.14 USD +0.40%+5.85%+6.51%1.49%
25.87 EUR +2.50%+2.70%-9.36%1.43%
116.2 USD -0.90%+0.48%-8.31%1.42%
1,570 JPY +3.63%-0.06%+36.16%1.39%
34.72 USD +0.70%+3.43%+1.79%1.35%
44 USD +1.48%+2.02%-11.72%1.31%
119.1 USD +0.13%+1.18%-10.90%1.07%
246.9 USD -0.12%+5.00%-0.41%1.03%
129.2 USD +1.60%+2.50%-3.89%1.01%
72.85 HKD +1.18%+4.07%-13.74%0.99%
2,808 JPY +1.78%+0.34%+44.49%0.96%
33.9 HKD 0.00%+9.89%-22.69%0.91%
55.03 USD -1.70%-2.10%-15.09%0.90%
854.8 GBX +1.35%+0.73%-3.56%0.89%
18.86 USD -0.16%+0.80%-3.13%0.89%
18.38 USD -0.22%+0.99%-13.75%0.85%
60.53 USD -0.36%-3.51%-14.19%0.82%
37.91 USD -0.16%+4.15%-0.99%0.81%
42.46 USD -2.23%-0.79%-13.96%0.81%
58.28 USD -1.32%-0.15%-13.01%0.79%
43.2 USD +0.47%+1.08%-22.99%0.77%
36.41 USD +1.82%+3.23%+1.25%0.77%
61.51 USD -0.71%+2.18%-12.34%0.72%
18.8 USD +2.51%+4.56%-5.05%0.71%
3.1 AUD -1.90%-1.59%+3.68%0.68%
40.76 USD -1.50%-3.07%-12.06%0.68%
99.62 USD +1.44%+3.46%+0.33%0.66%
33.4 HKD +1.98%+7.40%-14.80%0.62%
102.2 USD -0.37%+2.43%-0.83%0.55%
155.9 USD +0.12%-2.10%-15.05%0.54%
22.24 USD -0.40%-2.63%-26.53%0.53%
85 CHF +0.29%+0.12%-5.40%0.51%
2.6 SGD -0.38%+1.56%-14.19%0.51%
40.76 USD -0.66%+1.90%-5.43%0.51%
1.96 SGD -0.51%+4.26%-4.85%0.50%
77.66 EUR +1.07%+3.41%+16.05%0.48%
31.09 USD +0.61%+2.20%+1.40%0.48%
4.33 AUD -1.37%-1.14%-2.70%0.47%
34.48 USD -0.17%-1.29%-12.18%0.46%
21.72 USD -0.23%+1.16%-6.66%0.46%
46 USD -0.09%+0.81%-12.66%0.45%
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ETF Ratings

Description

IE00BFM6T921
Total Expense Ratio 0.59%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE EPRA/NAREIT Developed Dividend+ Net Total Return Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2018-05-09
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 266 M€
AuM 1M 254 M€
AuM 3 months 272 M€
AuM 6 months 258 M€
AuM 12 months 266 M€
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