Components FundX Aggressive ETF - USD

ETF

XNAV

US3608768822

Delayed Nyse 04:10:00 2024-07-11 pm EDT 5-day change 1st Jan Change
70.25 USD -2.28% Intraday chart for FundX Aggressive ETF - USD +0.17% +23.00%

Composition of FundX Aggressive ETF - USD

Weight
231.6 USD +1.78%+2.47%+20.46%8.89%
456.1 USD +0.31%-2.52%+21.21%8.83%
195.6 USD +0.27%-2.21%+28.73%3.66%
130.8 USD +2.65%+4.55%+165.64%3.35%
500.9 USD -2.30%-6.82%+42.13%2.73%
186.1 USD +0.30%-2.24%+33.39%2.57%
249.3 USD +3.44%-0.47%+0.75%2.15%
1,716 USD +0.57%+0.84%+53.88%1.79%
560.6 USD +0.53%-3.13%-6.09%1.47%
845.5 USD -0.12%-4.55%+28.08%1.11%
184.4 USD +1.34%+7.84%+25.76%1.08%
643.4 USD +2.23%-3.74%+3.00%1.01%
255 USD +1.54%-3.08%-3.06%0.87%
949.5 USD +1.65%+3.75%+62.78%0.86%
651.5 USD -0.20%-5.44%+34.14%0.80%
267.4 USD +1.83%-1.16%+2.64%0.73%
204.3 USD +2.18%+3.10%+20.23%0.63%
442 USD +1.27%-1.73%+3.56%0.63%
34.9 USD +4.16%+9.87%-29.99%0.63%
246.8 USD +2.31%+2.15%+52.90%0.58%
205.5 USD +2.84%-0.02%+42.23%0.54%
337.8 USD +2.05%-1.33%+14.46%0.54%
167.6 USD +2.20%+1.82%-1.44%0.54%
762.1 USD +1.74%-5.69%+7.66%0.51%
1,085 USD +2.38%+0.18%+39.14%0.49%
180.3 USD +0.82%+0.57%+12.44%0.48%
4,046 USD +2.79%+2.92%+14.03%0.47%
618.4 USD +1.59%-0.45%+20.12%0.46%
445.2 USD +0.39%+0.49%+32.19%0.45%
317.9 USD +1.21%-0.94%+16.78%0.44%
47.64 USD +1.89%+2.26%-5.57%0.41%
490 USD -0.43%+3.21%+20.38%0.39%
310.9 USD +4.34%+4.18%-11.19%0.39%
513.2 USD +1.76%+5.31%-2.38%0.38%
869.1 USD +1.89%+2.08%+50.18%0.38%
145 USD +1.59%+0.06%+37.45%0.37%
74.98 USD +2.29%-1.34%-21.85%0.37%
333.3 USD +2.53%+7.32%+15.84%0.36%
38.18 USD +1.13%+0.87%-12.91%0.35%
230.1 USD +1.45%+0.48%-16.61%0.34%
3,274 JPY -0.30%-3.45%+26.38%0.33%
1,750 JPY -2.34%-4.24%+44.45%0.33%
371.7 USD +0.35%-4.69%+45.46%0.31%
254.2 USD +2.16%+2.57%+4.42%0.31%
239.1 USD +1.47%+1.47%+2.60%0.29%
241 USD +3.10%+4.68%+21.73%0.29%
4,370 JPY -1.55%-2.37%+19.89%0.29%
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Description

US3608768822
Total Expense Ratio 1.52%
Asset Class Actions
Sector
Size
Currency
Provider

Features and characteristics

Dividend Policy Distribution
Jurisdiction
Date of creation
2022-10-16
Commodity
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 24 M€
AuM 1M 23 M€
AuM 3 months 24 M€
AuM 6 months 22 M€
AuM 12 months 22 M€
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