Components iShares U.S. Financial Services ETF - USD

ETF

IYG

US4642877702

Delayed Nyse 02:29:18 2024-04-26 pm EDT 5-day change 1st Jan Change
64.73 USD +0.26% Intraday chart for iShares U.S. Financial Services ETF - USD +3.30% +8.36%

Composition of iShares U.S. Financial Services ETF - USD

Weight
194.5 USD +0.56%+4.61%+14.26%10.64%
274.6 USD -0.20%+1.70%+5.39%8.98%
462.2 USD +0.01%+1.39%+8.25%7.64%
37.96 USD +0.12%+2.64%+12.70%5.02%
60.38 USD +0.76%-0.01%+22.60%3.87%
416.9 USD +0.33%+0.97%-5.43%3.09%
428 USD +1.90%+5.91%+10.92%2.72%
93.16 USD +0.64%+2.66%-0.19%2.55%
765.2 USD +0.99%+1.90%-5.86%2.45%
236.2 USD -0.37%+2.15%+25.98%2.33%
75.18 USD +0.39%+2.30%+9.17%2.21%
62.8 USD +1.64%+6.61%+22.57%2.13%
122.3 USD -0.17%+3.24%-6.63%2.01%
211.2 USD -0.62%-0.90%+0.25%1.64%
132.2 USD +0.28%+0.78%+2.96%1.59%
41.38 USD +0.94%+2.24%-4.45%1.46%
157.4 USD +0.74%+3.39%+1.69%1.34%
378.1 USD +0.79%+0.85%-3.25%1.33%
95.53 USD +0.70%+2.97%+15.11%1.19%
147 USD +0.71%+2.83%+12.07%1.08%
38.4 USD +1.15%+4.32%+3.98%1.06%
477.2 USD +2.73%-6.47%-15.66%0.97%
112.1 USD -0.58%+5.05%+20.96%0.88%
57.54 USD +0.62%+2.28%+10.61%0.87%
411.5 USD +0.15%-1.36%+8.29%0.83%
233.7 USD +4.53%+10.48%+34.04%0.64%
127.7 USD +1.60%+1.77%+13.50%0.61%
73.69 USD +0.55%+0.40%-4.91%0.52%
114.7 USD +5.41%+5.30%+6.32%0.52%
37.1 USD +0.75%+2.23%+7.45%0.51%
147.8 USD +0.62%+2.88%+7.61%0.50%
122.2 USD +0.23%-1.44%+9.26%0.45%
134 USD +0.23%+3.52%+12.75%0.44%
60.29 USD 0.00%-0.30%+3.49%0.43%
13.6 USD +0.18%+2.45%+6.96%0.40%
422.3 USD +0.86%-2.75%-11.52%0.39%
19.8 USD +0.99%+4.52%+1.93%0.39%
83.76 USD +0.38%+2.81%-0.76%0.38%
265.1 USD -0.11%+0.90%+16.40%0.37%
1,757 USD -2.42%+12.01%+23.73%0.37%
44.82 USD +0.35%+7.76%+17.30%0.34%
35.44 USD +1.24%+4.18%+6.85%0.33%
14.82 USD +1.40%+1.16%+2.78%0.29%
202.1 USD +0.27%-1.06%-31.07%0.24%
36.98 USD -0.39%+0.98%+10.87%0.23%
102 USD -0.12%+0.96%+12.26%0.23%
76.53 USD +0.22%+4.75%+6.10%0.22%
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Description

US4642877702
Total Expense Ratio 0.40%
Asset Class
Sector
Size
Currency
Provider
Underlying Dow Jones U.S. Financial Services Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2000-06-11
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 1,249 M€
AuM 1M 1,214 M€
AuM 3 months 1,139 M€
AuM 6 months 1,089 M€
AuM 12 months 1,074 M€
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