Components Syntax Stratified U.S. Total Market ETF - USD

ETF

SYUS

US87166N4034

Market Closed - Nyse 04:10:00 2024-06-07 pm EDT 5-day change 1st Jan Change
47.26 USD -0.38% Intraday chart for Syntax Stratified U.S. Total Market ETF - USD -0.33% +4.92%

Composition of Syntax Stratified U.S. Total Market ETF - USD

Weight
156.1 USD +0.10%-3.83%+4.64%0.71%
112.8 USD -1.07%-3.85%+12.77%0.71%
65.88 USD -1.89%+0.18%+25.37%0.66%
51.98 USD +0.06%-0.74%+13.72%0.64%
845.6 USD +0.35%+4.41%+28.10%0.63%
72.66 USD 0.00%-0.22%-0.64%0.63%
15.84 USD -0.13%-2.34%-39.33%0.55%
61.78 USD +1.38%+3.66%-21.76%0.55%
154.4 USD -0.86%-1.72%+18.79%0.50%
175.1 USD -0.36%-0.85%+18.02%0.49%
138.1 USD -0.22%-2.84%+3.70%0.48%
120.5 USD -2.46%-2.34%-17.63%0.46%
75.25 USD +0.33%-2.02%+8.13%0.46%
140 USD -0.61%+1.85%+7.13%0.46%
93.89 USD -0.10%+1.00%+17.79%0.45%
107.4 USD +0.48%+4.21%+14.53%0.45%
61.27 USD +0.16%-1.87%-15.16%0.45%
107.4 USD -0.49%+0.35%+13.56%0.45%
167.1 USD -0.84%+1.53%+14.00%0.45%
134.5 USD -0.96%+0.89%+10.67%0.45%
144.3 USD +0.09%+3.23%+4.25%0.45%
3,169 USD -1.33%+1.26%+38.57%0.45%
45.84 USD -0.71%-11.74%+6.21%0.44%
371.1 USD +0.16%+1.69%+18.52%0.44%
81.43 USD -0.05%+1.51%-15.19%0.44%
148.5 USD -1.05%-1.23%-9.59%0.44%
163.3 USD -0.40%-0.36%+27.01%0.44%
256.2 USD -1.73%-1.04%-13.59%0.44%
181.8 USD -0.12%-2.73%+26.05%0.43%
55.86 USD -0.92%-2.43%+3.93%0.43%
30.64 USD -0.78%-1.10%-4.58%0.43%
133 USD +0.40%+1.07%-6.75%0.43%
36.45 USD +0.75%-0.14%+21.14%0.43%
513.6 USD -0.03%+0.98%+24.58%0.43%
493 USD -0.16%+5.60%+39.27%0.41%
196.9 USD +1.24%+2.41%+2.26%0.41%
32.02 USD -2.08%+4.54%-12.27%0.38%
34.08 USD +0.77%-7.14%-5.73%0.35%
36.17 USD -0.96%-3.68%+0.75%0.35%
19.87 USD -2.41%-7.97%+3.22%0.34%
81.42 USD +0.15%-2.21%-9.25%0.34%
77.89 USD +0.08%-3.84%+50.66%0.34%
44.55 USD +2.04%-2.92%-14.39%0.34%
34.61 USD -0.77%-2.94%-3.46%0.33%
139.1 USD +0.55%-0.20%+7.13%0.33%
103.6 USD -0.60%+2.20%+10.13%0.33%
187.5 USD -0.96%-1.20%+23.02%0.33%
46.7 USD +0.02%+0.97%+15.77%0.33%
198 USD -2.27%-8.86%+69.39%0.33%
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Description

US87166N4034
Total Expense Ratio 1.06%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
2021-03-18
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 20 M€
AuM 1M 17 M€
AuM 3 months 17 M€
AuM 6 months 16 M€
AuM 12 months 15 M€
  1. Stock Market
  2. ETF
  3. SYUS ETF
  4. Components Syntax Stratified U.S. Total Market ETF - USD