Components iShares Asia Property Yield UCITS ETF - USD

ETF

IQQ4

IE00B1FZS244

Market Closed - Deutsche Boerse AG 01:37:46 2024-07-16 pm EDT 5-day change 1st Jan Change
18.01 EUR -0.17% Intraday chart for iShares Asia Property Yield UCITS ETF - USD +4.22% -5.80%

Composition of iShares Asia Property Yield UCITS ETF - USD

Weight
1,554 JPY +1.50%+4.09%+34.64%8.88%
2,632 JPY +0.73%+1.74%+35.51%6.48%
70.4 HKD -2.29%+5.23%-16.64%4.28%
32.5 HKD -1.52%+7.97%-25.88%3.58%
3.335 AUD +1.68%+5.38%+11.37%3.47%
30.2 HKD -1.15%+3.25%-22.96%2.68%
2.09 SGD 0.00%+5.03%+1.46%2.36%
4.615 AUD +1.43%+8.84%+3.71%2.23%
2.72 SGD 0.00%+6.25%-10.23%2.20%
579,000 JPY +0.52%+2.30%-5.24%1.89%
2.175 AUD +2.59%+17.03%+3.59%1.71%
4.6 AUD +1.55%+11.29%-1.19%1.70%
6.965 AUD +0.94%+7.66%-9.44%1.61%
2.74 SGD -0.72%+3.79%-13.29%1.59%
20.8 HKD -0.48%+4.31%-21.21%1.57%
2.05 AUD +1.99%+7.61%+0.49%1.53%
522,000 JPY +0.58%+2.96%-10.62%1.47%
148,300 JPY -1.07%+0.82%-10.06%1.39%
251,500 JPY -1.10%+1.13%-7.30%1.38%
91,700 JPY +0.66%+2.11%-9.91%1.35%
157,400 JPY +0.96%+1.61%-2.11%1.33%
1,488 JPY +0.95%+3.26%+0.78%1.24%
131,300 JPY -0.38%+0.84%-6.55%1.23%
8.11 HKD -1.58%+1.76%-4.48%1.23%
245,700 JPY +0.41%+0.78%-2.26%1.21%
3.39 USD +0.30%+5.28%-2.59%1.14%
2,690 JPY +0.92%+1.49%+27.41%1.07%
2.29 SGD +0.44%+9.57%-8.76%1.06%
1.36 SGD 0.00%+8.80%-21.84%1.06%
4,262 JPY +1.26%+4.49%+14.91%0.98%
68,000 JPY +0.15%+3.34%+11.48%0.97%
318,000 JPY -0.47%-1.70%+0.63%0.94%
144,700 JPY -0.21%+1.40%+0.35%0.92%
158,400 JPY -0.13%+1.21%-4.80%0.90%
80,300 JPY +1.52%+4.69%+16.04%0.79%
12.92 HKD -1.67%+1.41%-18.23%0.71%
5.42 SGD -0.37%+3.04%-13.69%0.69%
80,800 JPY +0.50%+1.64%+4.80%0.68%
1.32 SGD -0.75%+8.20%-15.92%0.68%
5.46 SGD -0.73%+3.80%-17.89%0.68%
1 SGD +0.50%+8.11%-13.04%0.67%
326,000 JPY 0.00%+1.09%-6.86%0.65%
629,000 JPY -0.47%-1.26%+4.14%0.62%
128,500 JPY +0.39%+1.58%-7.95%0.62%
148,000 JPY -0.40%+0.95%-2.63%0.61%
370,000 JPY 0.00%+1.51%-4.76%0.58%
2.415 AUD +1.05%+3.43%+4.78%0.56%
2.18 SGD -0.46%+1.87%-3.54%0.56%
1.16 SGD 0.00%+7.41%-5.69%0.54%
2.34 AUD +2.18%+9.86%+3.54%0.54%
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ETF Ratings

Description

IE00B1FZS244
Total Expense Ratio 0.59%
Asset Class Actions
Sector
Size
Currency
Provider
Underlying FTSE EPRA/NAREIT Developed Asia Dividend+ Net Total Return - USD

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Replication Model
Date of creation
2006-10-19
Factor
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 296 M€
AuM 1M 315 M€
AuM 3 months 301 M€
AuM 6 months 289 M€
AuM 12 months 309 M€
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