Components IQ Global Resources ETF - USD

ETF

GRES

US45409B8836

Delayed Nyse 5-day change 1st Jan Change
- USD -.--% Intraday chart for IQ Global Resources ETF - USD -0.24% -4.07%

Composition of IQ Global Resources ETF - USD

Weight
117.3 USD +2.93%+3.45%+17.36%5.06%
68.53 USD +0.94%+0.34%-5.38%4.89%
44.51 AUD +0.47%-0.29%-11.70%3.92%
162.4 USD +2.60%+2.94%+8.86%3.48%
5,476 GBX -0.22%-3.17%-6.26%2.69%
2,812 GBX +0.52%+1.42%+9.33%2.37%
62.44 USD +3.82%+3.22%-13.54%2.22%
35.37 USD +2.08%-1.34%-4.35%2.08%
68.75 USD +3.15%+0.66%+5.54%2.02%
480.8 GBX -0.24%-0.66%+1.83%1.90%
67.01 EUR +2.60%+1.55%+8.78%1.76%
118.6 USD -0.04%+0.95%+39.26%1.70%
116.5 USD +2.54%-0.67%+0.34%1.63%
79.87 CAD +1.86%-0.71%+6.99%1.59%
52.73 USD +0.80%+2.33%+23.87%1.55%
488.2 GBX +0.60%+1.07%+4.72%1.22%
168.8 USD +1.31%-1.41%-2.98%1.18%
16.54 HKD -2.59%-5.38%+30.03%1.11%
5,605 JPY +0.09%-5.48%+3.03%1.10%
30.98 USD +0.62%-11.76%-3.52%1.09%
24.74 AUD -0.16%-7.58%-14.75%1.09%
302.8 NOK +1.63%+0.28%-5.99%1.08%
232.2 USD +1.53%-0.90%+17.07%1.08%
60.34 USD +1.69%-1.15%+7.92%1.05%
2,550 GBX -4.14%-6.32%+7.73%0.97%
57.29 USD +1.25%-4.05%+6.59%0.95%
45.92 USD +0.72%-0.69%-11.76%0.93%
160.8 USD +0.39%-6.03%-3.68%0.87%
2,514 GBX +0.14%-3.88%+27.55%0.86%
41.95 USD +0.14%-0.07%+1.35%0.86%
124.6 USD +1.88%+1.04%+2.98%0.85%
3.09 SGD -0.32%-0.96%-13.45%0.82%
77.8 EUR +0.06%-0.38%-1.09%0.82%
35.15 EUR +0.14%+0.14%+3.20%0.82%
49.83 CAD +1.86%+0.61%+4.47%0.80%
23.25 CAD -0.14%-0.09%-2.88%0.79%
104.7 CAD +0.98%+0.04%+20.61%0.78%
176.6 USD +2.67%-0.67%+19.04%0.74%
29.88 USD +2.47%-1.32%+4.26%0.72%
30.93 USD +2.89%-0.16%-13.43%0.65%
62.5 USD +2.11%+0.89%+4.67%0.64%
44.38 USD +1.84%-2.12%+2.66%0.63%
14.5 EUR +0.89%+0.78%-5.55%0.62%
68.21 USD +0.03%+0.74%+24.36%0.61%
142.1 USD +2.69%-0.40%+6.74%0.60%
3,432 JPY +2.63%+2.88%+6.25%0.59%
24.16 EUR +1.05%+1.38%-5.90%0.59%
45.07 USD +1.10%-0.86%+24.67%0.57%
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Description

US45409B8836
Total Expense Ratio 0.31%
Asset Class
Sector
Size
Currency
Provider
Underlying IQ Global Resources Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2009-10-26
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2023-10-30 )

AuM (EUR) 36 M€
AuM 1M 41 M€
AuM 3 months 30 M€
AuM 6 months 31 M€
AuM 12 months 37 M€
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