Components First Trust Europe AlphaDEX Fund ETF - USD

ETF

FEP

US33737J1170

Delayed Nasdaq 09:37:18 2024-04-29 EDT 5-day change 1st Jan Change
37.44 USD +0.13% Intraday chart for First Trust Europe AlphaDEX Fund ETF - USD +1.63% +3.08%

Composition of First Trust Europe AlphaDEX Fund ETF - USD

Weight
412.8 GBX -1.98%+1.58%+37.70%1.06%
394.4 SEK +1.54%+7.52%+16.82%0.99%
260.9 GBX -0.23%+2.07%-3.85%0.95%
15.02 EUR -9.12%+0.05%+22.68%0.94%
8 EUR -0.25%+0.25%+4.44%0.93%
25.1 CHF +0.16%-0.98%-3.68%0.92%
37.97 EUR +0.40%-1.20%-5.38%0.91%
34.86 EUR -1.73%+2.26%+42.07%0.89%
6.15 EUR -1.06%+4.45%+28.72%0.89%
4.763 EUR -0.44%+5.58%+57.50%0.89%
14.58 EUR +0.21%+2.57%+13.48%0.89%
0.3263 EUR +0.65%+2.00%+18.95%0.88%
1.863 EUR +4.05%+6.36%+0.24%0.88%
2,870 GBX -0.30%+0.98%+18.63%0.87%
1,060 GBX +1.07%+1.15%0.00%0.87%
10.86 EUR -1.11%+3.98%+31.84%0.86%
10,510 DKK +1.74%+8.43%-13.76%0.86%
4.741 EUR -0.68%+1.67%+25.55%0.85%
34.16 EUR +0.35%+4.66%+24.04%0.85%
23.92 EUR +0.72%-0.75%-6.80%0.84%
70.78 EUR -0.74%+2.39%+9.51%0.84%
18.02 EUR -1.26%+1.81%-3.80%0.84%
25.45 EUR +0.59%+1.52%-11.13%0.83%
106.8 EUR +0.40%+0.99%+6.07%0.82%
15.76 EUR -0.69%+3.01%-1.31%0.82%
38.02 EUR +0.05%+0.48%+3.60%0.82%
98.38 EUR -0.53%-4.68%-1.55%0.82%
20.5 EUR -0.19%+5.94%+53.67%0.80%
15.3 EUR +0.29%-0.22%-0.27%0.80%
85.9 EUR +1.12%+4.82%+19.55%0.79%
134.8 GBX +0.34%+1.78%-8.50%0.78%
457.3 GBX +0.53%+1.26%-18.68%0.78%
131.5 GBX -1.65%-0.04%-6.36%0.78%
49.31 EUR -0.08%+0.02%+6.30%0.77%
301 NOK -0.89%+1.40%-6.58%0.76%
21.84 EUR +0.37%+0.46%+46.30%0.74%
75.02 EUR +0.89%+1.12%+19.94%0.74%
8.43 EUR +0.52%+2.80%-45.29%0.74%
203.6 DKK +0.39%-1.02%+12.64%0.72%
44.02 EUR +0.13%+1.33%+19.98%0.72%
70.07 GBX +1.43%+0.23%+1.78%0.72%
25.98 EUR +2.77%+7.18%+4.84%0.71%
21.8 EUR -0.21%+0.88%+0.23%0.71%
31.18 EUR +2.57%+5.76%+17.99%0.71%
3.433 EUR +0.10%-1.12%+12.68%0.70%
60.9 EUR -0.08%+2.70%+24.69%0.70%
32.25 CHF +1.35%+1.32%-22.07%0.70%
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Description

US33737J1170
Total Expense Ratio 0.80%
Asset Class
Sector
Size
Currency
Provider
Underlying NASDAQ AlphaDEX Europe Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2011-04-17
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 197 M€
AuM 1M 195 M€
AuM 3 months 203 M€
AuM 6 months 210 M€
AuM 12 months 262 M€
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