Components Xtrackers MSCI USA Consumer Staples UCITS ETF - USD

ETF

XUCS

IE00BGQYRQ28

Delayed London S.E. 08:32:21 2024-04-18 am EDT 5-day change 1st Jan Change
41.75 USD +0.70% Intraday chart for Xtrackers MSCI USA Consumer Staples UCITS ETF - USD -0.60% +2.30%

Composition of Xtrackers MSCI USA Consumer Staples UCITS ETF - USD

Price
Change
5d. change
1-year change
Weight
156.7 USD +0.51%+0.50%+3.57%13.62%
715.7 USD +0.07%-2.22%+44.11%11.64%
58.8 USD +0.49%-0.42%-7.48%9.57%
59.62 USD -0.06%-0.67%+19.49%9.25%
170.7 USD +0.72%+1.55%-7.50%9.24%
90.89 USD +0.34%+1.64%-10.29%5.79%
66.77 USD +0.39%+0.07%-5.21%3.90%
41.24 USD +0.33%-0.47%-10.63%2.83%
167.2 USD +1.69%-2.45%+2.91%2.61%
86.62 USD -0.14%+0.80%+14.76%2.47%
53.74 USD -0.95%-1.52%+2.32%1.79%
125.6 USD -0.30%-0.40%-9.48%1.62%
259 USD +0.67%-3.47%+13.94%1.59%
61.26 USD +1.39%-2.21%-25.88%1.54%
68.88 USD +0.54%+2.79%-21.28%1.50%
19.44 USD +0.86%-0.15% - 1.47%
75.92 USD +0.63%-0.73%+1.66%1.46%
30.92 USD +0.13%+0.44%-12.53%1.39%
141.9 USD +2.79%-2.15%-44.65%1.36%
36.68 USD -0.61%+0.77%-6.59%1.25%
55.4 USD +0.26%-1.19%+15.95%1.22%
123.2 USD -0.41%-5.40%-17.52%1.18%
145.4 USD +0.61%-6.00%-32.90%1.18%
183.4 USD +0.53%-3.27%-29.39%1.09%
103.1 USD -0.35%+1.42%+15.23%0.92%
17.6 USD -0.14%-2.35%-50.38%0.78%
48.95 USD -0.39%-2.79%-23.05%0.70%
142.9 USD +0.37%-1.36%-11.00%0.70%
72.62 USD +0.49%-0.90%-14.55%0.68%
80.4 USD +0.05%-1.43%-26.86%0.62%
58.76 USD +0.30%-1.11%-3.60%0.61%
105.6 USD +0.17%-0.19%+8.10%0.61%
56.17 USD +0.18%+0.21%-16.93%0.61%
29.9 USD -1.14%-0.15%-19.48%0.54%
110.2 USD +0.37%-1.42%-27.62%0.53%
63.98 USD +0.68%-5.56%+11.72%0.46%
34.21 USD +0.50%-2.06%-13.89%0.38%
43.5 USD +0.43%+0.72%-21.04%0.33%
72.79 USD +2.56%-10.02%+148.95%0.33%
41.41 USD -0.72%-8.80%-28.94%0.32%
20.46 USD +0.07%-1.09%-1.47%0.31%

ETF Ratings

Description

IE00BGQYRQ28
Total Expense Ratio 0.12%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI USA Consumer Staples Net Total Return Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2017-09-11
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-26 )

AuM (EUR) 81 M€
AuM 1M 77 M€
AuM 3 months 74 M€
AuM 6 months 68 M€
AuM 12 months 86 M€
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