Components First Trust Emerging Markets AlphaDEX Fund ETF - USD

ETF

FEM

US33737J1824

Delayed Nasdaq 15:00:44 2024-05-15 EDT 5-day change 1st Jan Change
24.93 USD +0.56% Intraday chart for First Trust Emerging Markets AlphaDEX Fund ETF - USD +2.55% +12.65%

Composition of First Trust Emerging Markets AlphaDEX Fund ETF - USD

Weight
7.84 HKD -5.31%+3.70%+1.69%0.44%
8.26 HKD +0.98%+5.76%+17.33%0.44%
62.1 HKD -2.97%+0.16%+4.02%0.44%
5.56 HKD -1.24%+6.11%+19.57%0.43%
47.15 BRL +2.70%+1.25%+2.32%0.42%
27,300 CLP -0.36%+0.37%+14.47%0.42%
3.49 HKD +1.45%+8.05%+21.60%0.42%
201.4 INR -1.54%+3.76%+10.93%0.42%
10.36 HKD +0.19%+8.48%+11.64%0.41%
644 TWD -0.16%-4.45%+91.38%0.41%
441 ZAR -0.31%+1.62%+3.36%0.41%
5.05 HKD -1.37%+4.99%+23.47%0.40%
17.56 HKD -1.68%+9.07%-6.99%0.39%
5.55 HKD +0.18%+0.36%+42.31%0.36%
3.23 HKD -1.82%+8.75%-3.29%0.33%
36.55 TWD -2.14%+2.67%-8.28%0.26%
125.2 ZAR -0.31%+2.02%-0.29%0.24%
9,650 HUF 0.00%+1.85%+10.29%0.23%
1,128 INR +0.47%+0.01%+2.23%0.23%
4.88 HKD -0.41%+6.09%+32.61%0.22%
3.66 HKD -0.81%+8.93%+20.79%0.22%
6.23 HKD -0.16%+17.11%+21.44%0.22%
162.8 INR -0.70%+1.88%+4.23%0.22%
59.95 TRY -1.48%-3.93%+33.28%0.22%
5.99 HKD -1.32%+6.02%+23.00%0.21%
4.68 HKD -1.06%+6.85%-17.61%0.21%
123.1 MXN -1.06%-0.40%+20.02%0.21%
84.82 ZAR -8.50%-9.55%-26.56%0.21%
0.76 HKD -2.56%+4.11%-2.56%0.20%
104.5 TWD +0.97%+5.45%-10.68%0.20%
10.8 HKD -0.18%+10.88%+46.54%0.19%
17.9 HKD +1.02%+10.09%+62.14%0.19%
1.72 HKD 0.00%+10.26%+13.16%0.19%
4,530 IDR -1.09%-10.30%-19.82%0.19%
311 TWD -2.81%-0.32%+16.92%0.19%
8.72 HKD +1.04%+4.93%+9.27%0.18%
4.52 HKD 0.00%+2.96%+5.85%0.18%
257.3 ZAR +0.95%+1.50%+1.97%0.18%
8.39 HKD -2.10%+8.12%+24.85%0.17%
344.ohpWIWc74CJXMHDd_hY4WCTdvktdYDPSYJdZrrNwnxo.4SseQxdZpEwaZz6pt3FVaUKy8gooClTjVeQzz_YnskuVQGZpEE-3cQdvBw

Description

US33737J1824
Total Expense Ratio 0.80%
Asset Class
Sector
Size
Currency
Provider
Underlying NASDAQ AlphaDEX Emerging Markets Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2011-04-16
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 410 M€
AuM 1M 394 M€
AuM 3 months 380 M€
AuM 6 months 349 M€
AuM 12 months 396 M€
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  4. Components First Trust Emerging Markets AlphaDEX Fund ETF - USD
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