Components Xtrackers FTSE 250 ETF 1D

ETF

XMCX

LU0292097317

End-of-day quote London S.E. 06:00:00 2023-12-10 pm EST 5-day change 1st Jan Change
17.86 GBP +0.53% Intraday chart for Xtrackers FTSE 250 ETF 1D +2.40% +6.29%

Composition of Xtrackers FTSE 250 ETF 1D

Weight
314.8 GBX +15.99%+11.87%+15.69%0.57%
2,285 GBX +0.22%+0.22%-3.18%0.57%
203.2 GBX -0.39%+2.37%-13.46%0.57%
383.2 GBX -0.57%+0.31%+15.70%0.56%
490.5 GBX -1.70%-0.61%+12.89%0.56%
831 GBX +1.16%+4.20%+0.29%0.55%
451 GBX +0.49%-0.13%-2.93%0.55%
352 GBX +0.86%-0.85%+13.18%0.55%
185 GBX -0.05%+0.98%+14.13%0.54%
392.4 GBX +0.36%-0.20%+0.67%0.54%
239 GBX +0.84%+1.06%+7.90%0.54%
103.5 GBX +1.77%+10.05%-5.22%0.54%
861 GBX +0.58%+1.18%+0.47%0.53%
490 GBX +0.41%+0.72%+3.59%0.53%
165.4 GBX +0.49%+2.86%+9.10%0.53%
2,218 GBX +0.36%+1.19%+0.32%0.52%
1,646 GBX +1.35%+0.86%+21.03%0.52%
1,133 GBX +0.27%+2.81%-15.07%0.51%
721.5 GBX +2.78%+3.89%+17.22%0.50%
365.6 GBX +1.22%+0.77%+18.32%0.49%
100.8 GBX -.--%-.--%-3.82%0.49%
337.8 GBX -0.94%+3.94%-52.32%0.49%
987 GBX +0.51%+0.30%+14.90%0.48%
256.5 GBX +0.39%+0.98%-0.58%0.48%
217.5 GBX -2.47%-3.55%+11.37%0.47%
1,952 GBX +0.51%+1.14%+2.31%0.47%
480.2 GBX +1.39%+8.64%-1.40%0.47%
295 GBX 0.00%-1.14%-7.29%0.47%
344.8 GBX +1.23%+7.62%-8.49%0.47%
620 GBX -0.96%-0.96%-0.64%0.46%
325.6 GBX -4.91%-0.06%+1.18%0.46%
269.5 GBX +0.94%+2.47%+13.47%0.46%
727 GBX +1.18%-1.62%+4.23%0.46%
598 GBX +0.34%+0.17%+63.08%0.46%
410 GBX +0.61%+2.63%+13.89%0.45%
331.5 GBX -0.60%+0.76%+6.59%0.45%
1,385 GBX -1.49%-3.48%+16.88%0.45%
230.4 GBX -0.35%+0.09%-17.77%0.45%
1,894 GBX +1.83%+0.74%-12.72%0.44%
81.6 GBX +0.74%+3.03%-4.45%0.44%
2,530 GBX -14.24%-11.85%-10.60%0.44%
43.46 GBX +2.69%+2.02%-9.68%0.44%
77.95 GBX +0.71%-2.01%-27.05%0.44%
111.8 GBX -0.36%-2.02%+8.75%0.43%
1,183 GBX -1.74%+0.85%+13.31%0.43%
4,105 GBX -13.03%-13.31%+3.27%0.43%
97.05 GBX +0.78%+0.57%-6.50%0.43%
483.5 GBX -0.10%-0.31%+7.78%0.42%
352.5 GBX +0.28%-0.84%-3.95%0.42%
1,292 GBX -1.22%-0.46%-15.11%0.41%
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ETF Ratings

Description

LU0292097317
Total Expense Ratio 0.15%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE 250 Net Total Return Index - GBP

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2007-06-13
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 36 M€
AuM 1M 35 M€
AuM 3 months 37 M€
AuM 6 months 32 M€
AuM 12 months 36 M€
  1. Stock Market
  2. ETF
  3. XMCX ETF
  4. Components Xtrackers FTSE 250 ETF 1D
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