Components First Trust Indxx Global Natural Resources Income ETF - USD

ETF

FTRI

US33734X8386

Delayed Nasdaq 13:37:40 2024-04-29 EDT 5-day change 1st Jan Change
13.7 USD +0.93% Intraday chart for First Trust Indxx Global Natural Resources Income ETF - USD +1.79% +5.22%

Composition of First Trust Indxx Global Natural Resources Income ETF - USD

Weight
74.01 CAD +3.03%+3.28%-0.82%6.32%
80.94 USD +1.18%+2.75%+1.85%3.74%
60.96 USD +0.55%+0.55%+13.39%3.70%
4.67 HKD -2.71%+0.43%+14.18%3.04%
32.15 HKD +0.63%-2.13%+20.19%2.94%
80.65 USD +0.86%+1.76%+10.84%2.74%
453.2 INR -0.56%+4.12%+20.55%2.54%
15.06 AUD -0.26%-2.84%+10.33%2.41%
17.46 HKD -0.91%-1.58%+37.26%2.23%
278.9 NOK -2.21%-0.53%-5.62%2.15%
92.63 USD +0.62%+4.84%+20.47%2.09%
71.14 AUD +1.34%+4.25%+1.63%1.84%
59.74 USD +2.18%+2.56%-5.25%1.83%
120 USD +2.57%+7.16%+38.92%1.73%
115.1 USD +1.26%+2.26%-8.30%1.72%
74.02 USD +0.02%+1.60%+8.39%1.31%
202.1 USD +0.32%-1.63%-3.36%1.28%
105.6 CAD -1.80%-1.78%-6.93%1.11%
7.67 AUD -0.26%-2.66%+3.09%1.00%
143.8 PLN +2.93%+2.97%+17.20%0.96%
48.34 USD +0.87%+6.19%-6.95%0.68%
75.95 EUR +2.36%+2.98%+2.28%0.56%
2,670 IDR +2.69%-3.26%+12.18%0.53%
4.1 HKD +7.33%+17.82%-27.82%0.53%
1,850 CLP +1.37%-1.33%+8.82%0.48%
22.59 USD +6.81%+7.03%+7.13%0.46%
7.18 AUD +0.84%+7.97%-14.42%0.45%
54.02 USD +0.97%-0.13%-17.34%0.45%
16.12 HKD -1.83%-0.12%+46.01%0.37%
28 EUR +0.36%+1.74%-14.84%0.35%
126.3 GBX +1.04%+0.24%+26.68%0.34%
6,660 JPY +1.99%-0.45%+27.10%0.28%
10.8 CAD 0.00%+3.85%+27.36%0.27%
8.49 AUD +2.66%+2.54%+16.46%0.25%
4.232 EUR +2.03%+2.72%+19.28%0.21%
20.73 BRL -0.14%-4.04%+0.98%0.19%
10.4 NOK 0.00%-5.28%+3.28%0.18%
19.18 BRL +1.86%+1.86%+1.91%0.17%
ca500294b754256e611e43153934.GyC5sNUrtt15BFKO6cOcmqlyh5BrDeSW7VGTzC7UGDQ.cUzr06B0zLcvbg23oILwqOE8_agkTJ2n3D3Dthqte1MpVN6IsX6Oqx5HAw

Description

US33734X8386
Total Expense Ratio 0.70%
Asset Class
Sector
Size
Currency
Provider
Underlying Indxx Global Natural Resources Income Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2010-03-10
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 175 M€
AuM 1M 178 M€
AuM 3 months 204 M€
AuM 6 months 218 M€
AuM 12 months 267 M€
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