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MarketScreener Homepage  >  ETF  >  Hong Kong Stock Exchange  >  Xtrackers - MSCI Malaysia UCITS ETF    3082   LU0514694537

XTRACKERS - MSCI MALAYSIA UCITS ETF

(3082)
End-of-day quote. End-of-day quote Hong Kong Stock Exchange - 11/24
90 HKD   0.00%
 SummaryChartsStatistiquesComponents 
Quotes 5-day view   End-of-day quote. End-of-day quote Hong Kong Stock Exchange
11/18/2020 11/19/2020 11/20/2020 11/23/2020 11/24/2020 Date
90.18 90.18 89.74 90 90 Last
+0.31% 0.00% -0.49% +0.29% 0.00% Change

Chart XTRACKERS - MSCI MALAYSIA UCITS ETF
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Xtrackers - MSCI Malaysia UCITS ETF Technical Analysis Chart | MarketScreener
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Composition of XTRACKERS MSCI MALAYSIA 2C ...
 CompanyPriceChange1st Jan Change Capi. (M$)Poids  
MalaysiaPUBLIC BANK  18.38 End-of-day quote.0.88%-5.45%17 2869.94%
MalaysiaTOP GLOVE CORPORATION B..  6.8 End-of-day quote.-7.48%334.04%14 4808.71%
MalaysiaHARTALEGA HOLDINGS  14.18 End-of-day quote.-1.94%158.76%12 1376.3%
MalaysiaMALAYAN BANKING  8.13 End-of-day quote.0.37%-5.90%22 2536.18%
MalaysiaTENAGA NASIONAL  10.8 End-of-day quote.-1.10%-18.55%15 2245.27%
MalaysiaCIMB GROUP HOLDINGS  3.64 End-of-day quote.0.00%-29.32%8 8274.37%
MalaysiaDIALOG GROUP  3.7 End-of-day quote.-1.60%7.25%5 1823.3%
MalaysiaPETRONAS GAS  17.12 End-of-day quote.1.30%3.01%8 1732.89%
MalaysiaPETRONAS CHEMICALS GROU..  6.8 End-of-day quote.0.29%-7.48%13 2562.85%
MalaysiaSUPERMAX CORPORATION  8.07 End-of-day quote.-1.10%1,061.15%5 1232.78%
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Rating TrackInsight  TrackInsightTM ETF Ratings – Methodology
Investment objective
The investment objective of the Fund is to track the performance of the MSCI Malaysia TRN Index which is designed to reflect the performance of the shares of certain companies in Malaysia that are available to investors worldwide.
Investment themes
Asset Classes Equities
Geographical Zones Malaysia
Size Large & Mid Cap
Development Emerging
Weighting Schemes Market Cap Weighted
Description
Index ETF MSCI Daily Malaysia Net Total Return Index - USD
Currency USD
Management fees 0.5%
AuM (2020-11-07) 0.89 M USD
Provider DWS
Features and characteristics
Jurisdiction Luxembourg
Structure SICAV
Date of creation 2011-12-20
Dividend Policy Capitalization
Replication Method Direct (Physical)
Replication Model Full Replication
AuM evolution (2020-11-07)
Last one 0.89 M USD
1-month 0.9 M USD
3 months 0.94 M USD
6 months 0.87 M USD
1-year 0.99 M USD