Components iShares MSCI Germany ETF - USD

ETF

EWG

US4642868065

Market Closed - Nyse 04:00:00 2024-07-12 pm EDT 5-day change 1st Jan Change
31.92 USD +1.56% Intraday chart for iShares MSCI Germany ETF - USD +1.95% +7.51%

Composition of iShares MSCI Germany ETF - USD

Weight
188.7 EUR +1.22%-0.18%+35.32%13.35%
266.7 EUR +0.98%+2.22%+10.23%7.86%
23.88 EUR +0.51%+0.21%+9.79%5.24%
464.4 EUR +0.52%+4.22%+23.81%4.24%
40.83 EUR +1.32%+1.77%-8.97%2.93%
231.2 EUR +2.39%+4.95%+25.54%2.76%
192.1 EUR +2.13%+2.59%+3.00%2.59%
92.18 EUR +1.30%+5.11%-8.53%2.46%
12.47 EUR -0.24%+0.93%+2.63%2.10%
26.94 EUR +1.11%+2.94%-19.91%2.02%
108.6 EUR +1.31%+1.59%-2.91%1.79%
38.03 EUR +1.88%+4.59%+11.79%1.71%
509 EUR -0.31%+3.75%+77.35%1.70%
- USD -.--% - - 1.56%
0.3938 CAD -17.11% - - 1.56%
0.214 EUR -.--% - - 1.56%
- EUR -.--% - - 1.56%
21.1 CAD -0.24% - - 1.56%
- AUD -.--% - - 1.56%
- RUB - - - 1.56%
- AUD -.--% - - 1.56%
- NOK -.--% - - 1.56%
- CAD -.--% - - 1.56%
- GBX -.--% - - 1.56%
- EUR -.--% - - 1.56%
29.01 EUR -0.62%+5.91%+1.65%1.50%
55.3 EUR +0.25%+3.36%+5.13%1.11%
138.4 EUR +0.51%+1.54%+1.95%1.07%
239.3 EUR +0.29%+2.88%+10.63%1.05%
115 EUR +0.52%+0.97%+15.37%1.01%
82.08 EUR +1.11%+0.17%+12.65%0.95%
251.6 EUR +2.61%-0.47%+28.86%0.92%
29.35 EUR +0.38%+0.86%+4.56%0.89%
75.56 EUR +0.69%+6.18%-5.43%0.72%
42.18 USD +2.60%+2.63%-5.79%0.65%
36.82 EUR +1.02%+1.83%-3.00%0.61%
240.2 EUR -1.31%+4.16%-27.91%0.56%
43.46 EUR +0.49%+1.49%-6.17%0.55%
40.64 EUR +2.99%+1.80%+7.83%0.47%
83.62 EUR 0.00%+7.54%+5.42%0.45%
72.7 EUR +0.48%+0.83%+13.31%0.39%
73.05 EUR +1.95%+2.67%+24.23%0.38%
93.5 EUR +0.54%-1.68%+19.14%0.36%
20.74 EUR -0.67%-1.29%-17.07%0.35%
44.7 EUR +3.14%+2.24%-11.52%0.35%
72.15 EUR +0.84%+1.69%+11.60%0.35%
18.91 EUR -0.29%-2.43%+2.22%0.34%
782 EUR +1.76%+1.43%+11.79%0.31%
5.842 EUR +0.83%-3.12%-27.41%0.30%
65.6 EUR +1.00%+0.31%-33.63%0.30%
41 EUR -1.77%-3.85%-9.67%0.28%
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Description

US4642868065
Total Expense Ratio 0.50%
Asset Class Actions
Sector
Size
Currency
Provider
Underlying MSCI Germany Net Total Return Index - USD

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Fund Structure
Replication Model
Date of creation
1996-03-11
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 880 M€
AuM 1M 859 M€
AuM 3 months 938 M€
AuM 6 months 951 M€
AuM 12 months 1,539 M€
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