Components SoFi Select 500 ETF - USD

ETF

SFY

US8863642075

Delayed Nyse 01:22:39 2024-04-19 pm EDT 5-day change 1st Jan Change
17.69 USD -0.39% Intraday chart for SoFi Select 500 ETF - USD -4.43% +4.43%

Composition of SoFi Select 500 ETF - USD

Weight
174.9 USD -2.39%-6.10%+15.03%6.91%
165 USD -1.25%-6.52%-14.27%4.89%
399.4 USD -1.20%-5.24%+6.32%4.79%
149.1 USD -0.58%-12.74%-39.93%3.66%
802.3 USD -5.25%-8.33%+63.23%2.00%
119.9 USD +1.17%-0.17%+20.19%1.63%
271.3 USD -0.21%-7.72%+3.22%1.52%
154 USD -1.30%-2.35%+10.26%1.42%
1,222 USD -2.91%-8.46%+10.23%1.28%
160.2 USD +1.68%+1.03%+7.66%1.24%
184.5 USD +1.80%+0.88%+8.41%1.14%
484.1 USD -3.53%-5.31%+36.94%1.07%
149.2 USD -3.80%-8.43%+1.43%1.04%
269.2 USD -0.81%-2.38%+3.47%0.96%
506 USD +2.60%+15.44%-3.70%0.96%
454.2 USD -0.12%-2.37%+6.53%0.86%
730.1 USD -2.13%-2.60%+25.59%0.80%
59.16 USD -0.17%-1.61%+12.60%0.75%
129.3 USD +1.13%-1.28%+11.58%0.74%
711.8 USD -2.67%-7.32%+0.84%0.72%
146.9 USD +0.80%-0.29%-6.16%0.69%
280.6 USD -0.19%+0.50%-4.89%0.69%
3,423 USD -0.21%-2.75%-3.17%0.62%
125.7 USD +0.37%+0.02%+15.36%0.61%
334.5 USD +0.49%-2.30%-3.33%0.60%
37.02 USD +3.48%+3.51%+10.03%0.60%
705.4 USD -0.82%-3.49%+6.92%0.59%
466.2 USD -1.48%-1.46%-21.70%0.58%
115.3 USD -0.56%-4.60%+9.59%0.58%
157.1 USD -0.15%+0.98%+7.04%0.54%
165.9 USD +0.77%+2.42%+7.25%0.54%
196.1 USD +0.53%-5.77%+32.60%0.51%
59.62 USD +1.20%+2.43%+1.30%0.48%
316 USD -0.01%+0.25%-9.89%0.48%
155.5 USD +1.42%-4.17%+16.95%0.47%
161.8 USD +0.57%+1.07%+0.90%0.47%
185.3 USD -1.23%-3.44%-6.50%0.46%
602.3 USD -1.00%-2.98%-3.59%0.46%
181.4 USD -0.04%-0.30%+11.11%0.44%
544.1 USD +0.47%-3.78%+2.46%0.42%
172.9 USD +0.36%+2.98%+1.92%0.42%
149.2 USD -2.47%-3.45%+16.97%0.41%
163.2 USD +0.41%-5.92%+25.59%0.41%
112.1 USD -0.28%-1.68%+24.15%0.40%
411.4 USD -0.47%-1.48%-6.56%0.40%
25.8 USD +1.60%-0.34%-10.49%0.39%
62.78 USD -3.78%-10.11%+4.57%0.38%
60.7 USD +3.34%+7.46%+23.28%0.38%
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ETF Ratings

Description

US8863642075
Total Expense Ratio 0.19%
Asset Class
Sector
Size
Currency
Provider
Underlying Solactive SoFi US 500 Growth Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2019-04-10
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 656 M€
AuM 1M 623 M€
AuM 3 months 540 M€
AuM 6 months 485 M€
AuM 12 months 403 M€
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