Components VictoryShares Developed Enhanced Volatility Wtd ETF - USD

ETF

CIZ

US92647N8166

Delayed Nasdaq 02:28:14 2024-04-25 pm EDT 5-day change 1st Jan Change
30.33 USD -0.30% Intraday chart for VictoryShares Developed Enhanced Volatility Wtd ETF - USD +1.54% +0.52%

Composition of VictoryShares Developed Enhanced Volatility Wtd ETF - USD

Weight
30.81 EUR -1.27%+7.46%+14.17%-.--%
49.44 EUR -2.72%-1.55%+20.09%-.--%
68.36 EUR +0.93%+4.43%+9.22%-.--%
62.65 HKD +0.80%+3.64%-2.79%-.--%
6.53 AUD +1.24%+1.71%+15.37%-.--%
31.92 CAD -0.87%+4.42%-16.41%-.--%
204 GBX +6.73%+10.88%+32.66%-.--%
5.016 EUR +1.48%+3.98%+34.62%-.--%
46.32 EUR -0.17%+1.80%+8.48%-.--%
6,909 JPY +0.36%+3.69%+19.80%-.--%
1,850 JPY -0.51%+0.79%+5.12%0.47%
40.06 CAD -0.92%-0.60%-8.66%0.38%
139 EUR +0.32%+2.54%+2.47%0.35%
4,156 JPY -1.05%+2.19%+14.02%0.34%
133.6 CAD +0.21%+0.05%-0.31%0.34%
70.06 CAD -1.14%+0.34%+1.92%0.34%
14.33 SGD +1.27%+5.60%+10.23%0.34%
3.67 AUD -0.54%-0.27%-7.32%0.34%
3.436 EUR +0.56%+1.69%+10.20%0.33%
70.92 CAD +0.91%+1.36%+3.38%0.32%
59.3 EUR -0.77%+0.41%+1.06%0.32%
37.86 CAD +0.03%+0.26%-4.66%0.32%
11.46 EUR -0.61%+1.46%-3.45%0.32%
44.88 CAD -0.89%+1.22%-13.97%0.32%
221.1 CAD +0.09%-0.35%+8.43%0.32%
36.64 CAD -1.27%+0.40%-3.39%0.32%
8,890 GBX +0.93%-1.62%-4.14%0.31%
33.7 EUR -1.86%+1.44%+2.06%0.31%
37.7 EUR -1.72%-1.52%-6.13%0.31%
45.45 HKD +1.68%+4.12%+0.44%0.31%
506.5 CHF -0.78%-0.88%+0.10%0.31%
2,232 GBX -0.27%+2.90%+4.01%0.31%
165.7 USD -0.27%+0.75%+10.94%0.30%
3,281 GBX -0.73%-1.44%+5.50%0.30%
3,034 GBX -1.75%+2.02%-4.89%0.30%
169.4 JPY -0.94%-0.29%-1.68%0.30%
1,160 GBX -0.81%+1.35%-1.02%0.30%
150,100 KRW -0.20%+8.14%+15.91%0.30%
1,928 JPY -1.13%+1.63%-6.34%0.30%
126.8 CAD -0.34%+1.16%-3.28%0.30%
152.4 CAD +0.10%+2.87%+18.87%0.30%
4,347 JPY -0.18%+3.01%-3.10%0.30%
16.32 AUD +0.12%+1.68%+1.30%0.30%
31.94 CAD -0.67%+1.12%+9.10%0.30%
116.8 CAD +1.06%+3.43%+22.32%0.30%
184.1 CAD +1.05%+3.97%+11.91%0.30%
4,082 GBX +5.67%+8.28%+7.42%0.29%
73.25 USD -0.50%+2.80%-6.11%0.29%
535.5 SEK -2.55%-1.20%-2.32%0.29%
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ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2014-09-29
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 35 M€
AuM 1M 34 M€
AuM 3 months 37 M€
AuM 6 months 42 M€
AuM 12 months 43 M€
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