Components iShares Frontier and Select EM ETF - USD

ETF

FM

US4642861458

Market Closed - Nyse 04:00:00 2024-04-26 pm EDT 5-day change 1st Jan Change
27.41 USD +0.29% Intraday chart for iShares Frontier and Select EM ETF - USD +0.85% +4.22%

Composition of iShares Frontier and Select EM ETF - USD

Weight
120.1 USD +3.27%+3.80%+29.86%5.44%
74.2 EGP -4.30%-7.25%+2.13%4.97%
28,400 VND -0.53%+1.43%+1.61%3.17%
40,800 VND +0.25%-2.39%-5.56%2.49%
132.9 RON 0.00%+0.68%+3.83%2.47%
96.49 MAD +0.84%-0.46%-3.51%2.19%
0.687 RON -0.43%+0.96%+19.58%2.18%
28.4 RON -0.18%0.00%+17.07%2.04%
65,000 VND +0.46%+1.25%-3.85%2.01%
44,450 VND +5.83%-1.22%-0.34%2.00%
116.9 USD +4.58%+3.09%+35.87%1.71%
167.1 USD -0.41%+1.24%+11.43%1.70%
67,200 VND -1.32%+0.60%+0.30%1.64%
1.05 OMR +0.19%+0.57%-0.94%1.45%
503 MAD +0.20%-0.59%+9.35%1.40%
35,200 VND -0.42%+2.33%+7.32%1.30%
25.12 EGP 0.00%-3.35%-11.55%1.27%
52.7 RON +1.35%+1.74%+5.19%1.21%
63 EGP 0.00%-8.70%-25.00%1.21%
91,200 VND +0.22%+0.77%+13.57%1.20%
207.7 BDT -2.07%-2.99%-1.24%1.02%
1.27 BHD +0.40%-0.39%+10.92%1.00%
17,900 COP -1.65%-0.44%+15.63%0.98%
18.62 USD +1.75%+6.64%+22.82%0.95%
288 MAD +0.05%-1.67%+3.60%0.88%
32,920 COP -0.54%-1.73%-0.84%0.86%
22,450 VND -0.44%+2.05%-3.65%0.83%
0.264 OMR +0.76%-0.38%0.00%0.82%
863.8 PKR +1.92%+9.09%+9.76%0.82%
656.7 NGN 0.00%0.00%+105.28%0.79%
4.75 JOD +0.42%+0.42%+1.06%0.73%
208.2 LKR -0.72%+2.08%+9.03%0.71%
20,650 VND -1.67%+6.72%-7.19%0.71%
16.23 EGP -1.70%-5.09%-0.55%0.69%
17.38 USD +2.84%+9.17%+14.04%0.69%
104,000 VND +0.48%+0.58%-3.70%0.67%
28.35 PHP +0.35%+1.07%-13.83%0.67%
18.3 EUR +0.88%+1.89%-2.87%0.65%
118,800 VND +2.33%+6.93%+25.85%0.63%
16.3 KES -0.31%-0.31%+17.27%0.61%
202 NGN +0.20%-9.82%-23.48%0.60%
15,250 VND +0.33%+1.33%-10.56%0.58%
48.6 RON +0.62%+1.14%-1.02%0.56%
36.4 NGN -0.55%+1.11%-5.82%0.55%
115.6 BDT 0.00%0.00%0.00%0.55%
137.5 PKR +2.38%+6.96%+17.44%0.54%
35.95 NGN -0.14%+4.66%-11.23%0.53%
15.65 ZAR -0.51%-0.95%-9.59%0.53%
d23879f2.JwxhP_L91f8Tus7OtA7UEcA38sj5TR6vjvviIU9Jbnk.VT8HUqjQmI9e6pie_ljnYqZcrZe9AVXs-6-4WT8oGBVAT1Npn47mu2Xqhw

Description

US4642861458
Total Expense Ratio 0.79%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
2012-09-11
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 420 M€
AuM 1M 397 M€
AuM 3 months 462 M€
AuM 6 months 561 M€
AuM 12 months 647 M€
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