Components Vanguard FTSE 250 UCITS ETF - Acc - GBP

ETF

VMIG

IE00BFMXVQ44

Delayed London S.E. 07:40:59 2024-04-26 am EDT 5-day change 1st Jan Change
34.88 GBX +1.01% Intraday chart for Vanguard FTSE 250 UCITS ETF - Acc - GBP +0.91% +0.53%

Composition of Vanguard FTSE 250 UCITS ETF - Acc - GBP

Weight
156 GBX +1.04%+4.10%+2.87%-.--%
223 GBX +1.36%+2.72%+0.63%-.--%
89.7 GBX 0.00%-1.32%-5.59%-.--%
1,314 GBX +2.50%+1.34%-6.17%1.35%
3,259 GBX +0.15%+2.33%-13.95%1.18%
393.6 GBX +1.34%+2.79%-2.20%1.13%
1,207 GBX +0.33%+2.73%+14.42%1.08%
140.9 GBX +1.00%+1.73%-6.86%1.08%
146.6 GBX +3.83%+7.42%-18.11%1.03%
542 GBX +1.69%+1.23%+6.24%1.00%
9,532 GBX +0.50%+0.16%-3.34%0.99%
149.6 GBX +1.67%+1.16%-12.26%0.98%
2,912 GBX +2.73%+2.96%+12.28%0.98%
1,229 GBX +1.57%+2.64%+10.95%0.97%
1,160 GBX +1.89%+3.23%+25.34%0.97%
2,540 GBX +1.76%+3.52%-1.64%0.95%
1,752 GBX +0.60%-2.07%+3.15%0.94%
98.6 GBX 0.00%-0.63%-13.38%0.87%
125.1 GBX +1.38%+1.54%-9.74%0.86%
760.3 GBX +3.27%+5.28%+3.01%0.85%
309.7 GBX -0.03%-2.21%-4.45%0.85%
739.2 GBX +0.92%+2.71%-3.53%0.85%
6.804 EUR +1.46%+1.26%-4.19%0.84%
248.4 GBX +1.80%-1.35%+6.45%0.84%
782.5 GBX -0.45%+7.58%+9.15%0.82%
631 GBX -0.47%-1.10%-4.32%0.81%
2,033 GBX +2.06%-0.49%-14.32%0.80%
125 GBX +1.30%+2.94%-9.05%0.80%
2,697 GBX +0.33%-2.46%+3.54%0.80%
184.8 GBX -0.27%-4.39%+1.68%0.73%
70.7 GBX +0.93%+1.00%+11.49%0.72%
1,136 GBX +1.79%+1.63%+6.80%0.70%
1,079 GBX +1.22%+0.84%-11.87%0.70%
1,954 GBX +1.77%+7.25%+3.37%0.70%
1,377 GBX +0.66%+0.29%-2.61%0.67%
858.2 GBX -0.61%+1.83%+2.38%0.65%
408.8 GBX +0.43%+1.11%-0.24%0.63%
544 GBX +0.37%+0.37%+8.55%0.62%
4,265 GBX +1.07%+3.08%+11.79%0.62%
195.7 GBX +0.51%+0.49%+2.07%0.62%
514 GBX -0.48%+2.69%+30.51%0.61%
327.2 GBX +0.69%+1.39%+1.86%0.61%
293.8 GBX +2.30%+4.57%-4.98%0.60%
663.8 GBX +1.18%-0.10%-12.13%0.60%
2,574 GBX +1.02%+2.72%-8.09%0.60%
259.2 GBX +2.07%+1.98%-2.61%0.59%
214.7 GBX -0.14%+0.09%+30.37%0.58%
43d16d3fb076236ee9710d1630fca937.H7tbAEbWLMPFOMmlIzbm3Mx45XJmCFFgkYraMvahASM.W89sbxW-AayDcbvfaXyT6o8AgR5UQzM51NjtRLLQTUdK6mNXLbRU869wog

Description

IE00BFMXVQ44
Total Expense Ratio 0.10%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE 250 Net Total Return Index - GBP

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2019-05-13
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 412 M€
AuM 1M 403 M€
AuM 3 months 368 M€
AuM 6 months 320 M€
AuM 12 months 305 M€
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