Components iShares S&P/ASX Dividend Opportunities ESG Screened ETF - AUD

ETF

IHD

AU000000IHD5

Market Closed - Australian S.E. 01:56:48 2024-05-01 am EDT 5-day change 1st Jan Change
13.81 AUD -0.72% Intraday chart for iShares S&P/ASX Dividend Opportunities ESG Screened ETF - AUD -1.07% -2.26%

Composition of iShares S&P/ASX Dividend Opportunities ESG Screened ETF - AUD

Weight
42.32 AUD -1.65%-6.99%-16.05%10.65%
113.9 AUD -0.54%-0.58%+1.90%10.00%
25.32 AUD -2.80%+2.93%-12.75%9.53%
33.79 AUD -0.03%-0.15%+10.07%7.46%
25.79 AUD -0.65%-0.69%+12.62%6.79%
28.08 AUD -0.28%-1.37%+8.33%6.48%
3.64 AUD -0.82%-1.36%-8.08%5.91%
5.23 AUD +0.77%-2.24%-9.52%3.73%
3.78 AUD -1.31%-4.55%-0.53%3.13%
3.5 AUD -2.51%+5.42%+5.11%2.97%
59.92 AUD -1.85%-4.02%+12.99%2.38%
17.52 AUD -1.18%-0.45%+18.30%1.37%
4.47 AUD -2.61%-3.25%+6.43%1.31%
16.24 AUD -2.29%+0.12%+17.26%1.30%
4.67 AUD -1.06%0.00%+6.14%1.10%
14.3 AUD -2.52%-5.30%-9.32%1.04%
12.08 AUD -4.43%-7.43%-16.57%0.94%
6.41 AUD -0.47%-0.62%+13.25%0.86%
2.78 AUD -0.71%-0.36%-2.11%0.84%
10.2 AUD -1.07%-5.38%-15.00%0.71%
2.76 AUD -1.43%-2.82%-7.38%0.66%
3.72 AUD +1.09%+2.20%-6.06%0.63%
3.45 AUD -3.09%-4.70%-3.09%0.60%
8.87 AUD -0.22%+0.11%+34.39%0.55%
7.2 NZD -1.37%-3.10%-8.40%0.55%
13.24 AUD -1.85%-3.78%-10.78%0.54%
6.13 AUD -2.54%-1.29%-4.37%0.53%
3.81 NZD -2.06%-4.03%-20.29%0.53%
1.475 AUD -3.28%-3.59%-26.98%0.50%
18.3 AUD -1.19%-4.59%+14.66%0.49%
9.68 AUD -1.02%-1.63%+0.10%0.47%
4.87 AUD -1.62%-2.01%-7.59%0.46%
6.89 AUD -3.77%+3.30%-17.88%0.46%
1.845 AUD -2.38%-2.12%-4.90%0.43%
9.19 AUD -4.17%-7.82%+5.39%0.42%
14.9 AUD -4.36%+5.90%+20.94%0.40%
2.19 AUD -0.45%+0.46%-15.77%0.39%
6.09 AUD -0.98%-1.62%+0.16%0.37%
0.965 AUD +1.58%+9.66%+38.85%0.28%
23.34 AUD -2.06%-5.47%-8.40%0.25%
4.77 NZD +1.27%+1.17%-7.92%0.19%
2.42 AUD -1.63%+0.83%+3.42%0.16%
3.83 AUD -4.25%-5.20%-11.95%0.15%
8.74 AUD -2.13%-4.06%-5.82%0.11%
1.08 AUD +0.93%-2.26%-18.80%0.06%
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Description

AU000000IHD5
Total Expense Ratio 0.23%
Asset Class
Sector
Size
Currency
Provider
Underlying S&P/ASX Sustainability Screened Dividend Opportunities TR Index - AUD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2010-12-05
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 189 M€
AuM 1M 188 M€
AuM 3 months 197 M€
AuM 6 months 176 M€
AuM 12 months 180 M€
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