Components Xtrackers International Real Estate ETF - USD

ETF

HAUZ

US2330518463

Market Closed - Nyse 04:10:00 2024-05-03 pm EDT 5-day change 1st Jan Change
21.57 USD +0.74% Intraday chart for Xtrackers International Real Estate ETF - USD +4.10% -1.42%

Composition of Xtrackers International Real Estate ETF - USD

Weight
32.63 AUD +2.71%+5.91%+28.97%4.07%
1,618 JPY +1.92%+3.12%+40.41%3.21%
28.12 EUR +3.12%+8.70%-1.47%2.48%
2,900 JPY +1.54%+3.29%+49.25%2.38%
74.65 HKD +0.88%+2.47%-11.60%1.85%
5,406 JPY +0.24%+0.28%+28.90%1.83%
34.2 HKD +0.44%+0.88%-22.01%1.57%
874.6 GBX +0.78%+2.32%-1.33%1.54%
3.15 AUD +0.96%+1.61%+5.35%1.31%
878.2 INR -2.04%-3.28%+20.90%1.28%
34 HKD 0.00%+1.80%-13.27%1.22%
30.2 HKD +1.51%+8.63%+7.86%1.20%
27.4 PHP -1.97%-3.35%-16.72%1.07%
16,355 JPY -1.95%-3.31%+0.03%0.94%
79.86 EUR +1.63%+2.83%+19.34%0.94%
86.05 CHF +0.64%+1.24%-4.23%0.93%
2.54 SGD -1.93%-2.31%-16.17%0.93%
1.93 SGD -1.53%-1.53%-6.31%0.92%
4.41 AUD 0.00%+1.85%-0.90%0.87%
1,502 JPY +1.14%+2.70%+1.73%0.87%
44.41 CAD +2.02%+2.75%-9.00%0.78%
180.4 AUD +1.98%+2.55%-0.41%0.78%
204.8 CAD -0.47%0.00%-4.57%0.76%
1.905 AUD +1.87%+1.06%-6.62%0.75%
114.2 CHF -0.17%-0.26%-2.89%0.74%
667 GBX +1.44%+1.99%-5.36%0.74%
15.58 HKD +3.73%+11.60%+13.23%0.73%
543.6 GBX +3.19%+5.64%-5.56%0.72%
2.06 AUD +0.49%+0.49%-1.44%0.72%
82.62 EUR +1.25%+7.41%+4.16%0.71%
25.42 EUR 0.00%+1.60%+3.00%0.67%
25.11 MXN +2.74%+0.68%-17.86%0.66%
7.05 AUD +1.15%+0.14%-8.20%0.65%
26.85 PHP -3.07%-5.95%-22.06%0.65%
2.6 SGD +1.56%-1.52%-17.72%0.64%
25.25 HKD +1.00%+5.87%-4.36%0.64%
132 SEK -1.64%+1.54%-7.92%0.64%
147.6 CAD +3.32%-0.02%-11.95%0.60%
98.65 EUR +1.49%+3.62%-10.40%0.60%
614,000 JPY +2.16%+2.33%+0.49%0.60%
4.17 AUD +1.71%+1.21%-10.13%0.56%
25.9 EUR +0.70%+4.60%-9.12%0.55%
96,600 JPY +0.52%+2.22%-5.20%0.53%
70.16 SEK -0.88%+4.56%-1.90%0.52%
17.84 CAD +1.19%+1.71%-4.19%0.52%
157,400 JPY +0.32%+2.74%-2.11%0.52%
596 PHP -0.83%+0.85%-12.48%0.51%
958.5 GBX +0.52%+2.84%-8.19%0.51%
6b7892f57.aE5yRp1H0nLJRVVUScLfV5-YkhWdEMX5Tfb4WGGD2e0.HiE9FvkspjSnAzsmLIzpI6nZwk3tVPevBLK_dTflndVZJQIF8BG3PY89FA

ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2013-09-30
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-28 )

AuM (EUR) 653 M€
AuM 1M 620 M€
AuM 3 months 623 M€
AuM 6 months 568 M€
AuM 12 months 517 M€
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