Components First Trust S&P REIT Index Fund ETF - USD

ETF

FRI

US33734G1085

Delayed Nyse 12:40:33 2024-04-29 EDT 5-day change 1st Jan Change
24.54 USD +0.98% Intraday chart for First Trust S&P REIT Index Fund ETF - USD +1.45% -6.48%

Composition of First Trust S&P REIT Index Fund ETF - USD

Weight
104.8 USD +0.74%+0.81%-21.29%11.43%
726.3 USD -0.72%-3.65%-9.71%7.01%
95.44 USD +1.17%+4.14%+5.80%4.64%
263.1 USD +2.07%+0.84%-13.56%4.48%
144 USD +1.17%+1.10%+0.93%4.35%
54.42 USD +1.31%+2.17%-5.11%3.97%
143.4 USD +0.41%+5.17%+6.17%3.75%
137.4 USD +2.94%+3.68%-14.16%3.16%
28.9 USD +1.49%+3.05%-9.36%3.10%
65.3 USD +0.25%+4.63%+6.99%1.99%
44.7 USD +1.59%+3.63%-10.32%1.86%
77.72 USD +0.25%+2.24%+10.82%1.85%
34.79 USD +0.20%+3.12%+2.13%1.84%
119.9 USD +0.68%+1.42%-10.24%1.56%
247.9 USD +0.40%+3.29%-0.06%1.48%
131.2 USD +1.50%+3.01%-2.35%1.46%
55.74 USD +1.28%-0.82%-13.96%1.34%
19 USD +0.77%-0.08%-2.49%1.32%
18.76 USD +2.09%+0.97%-11.87%1.31%
42.88 USD +1.00%-0.21%-13.09%1.22%
60.96 USD +0.70%-2.83%-13.63%1.22%
43.56 USD +0.83%+1.09%-22.50%1.11%
38.18 USD +0.70%+3.28%-0.17%1.08%
36.28 USD -0.34%+2.30%+1.02%1.07%
19.16 USD +1.89%+5.46%-2.90%1.02%
58.88 USD +1.03%-0.56%-12.12%1.01%
99.93 USD +0.31%+1.94%+0.68%0.99%
41.51 USD +1.84%-1.52%-10.42%0.98%
62.8 USD +2.11%+2.48%-10.42%0.96%
158.2 USD +1.48%-3.13%-13.79%0.79%
22.37 USD +0.58%-1.84%-26.07%0.75%
40.66 USD +1.17%+0.17%-5.61%0.74%
103.3 USD +1.08%+2.06%+0.16%0.71%
30.88 USD +1.53%+2.05%+0.72%0.70%
34.68 USD +0.96%-1.80%-11.60%0.66%
46.24 USD +0.53%+0.94%-12.23%0.65%
21.96 USD +1.08%+1.06%-5.63%0.64%
106.9 USD -0.16%+0.08%-3.11%0.63%
14.26 USD +0.81%+1.29%-17.93%0.61%
55.17 USD +1.92%+0.54%-11.66%0.49%
38.4 USD -0.04%0.00%+10.57%0.48%
21.62 USD +1.72%+1.24%-5.45%0.46%
27.04 USD +2.95%+1.58%-4.39%0.42%
34.19 USD +3.17%+2.51%-14.01%0.41%
32.55 USD -0.18%-2.22%-10.83%0.40%
23.28 USD +1.82%+4.13%-4.29%0.35%
14.98 USD +0.37%-2.92%-9.87%0.34%
41.21 USD +1.24%+1.70%-14.93%0.34%
16.5 USD -0.45%+0.52%+7.42%0.32%
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Description

US33734G1085
Total Expense Ratio 0.50%
Asset Class
Sector
Size
Currency
Provider
Underlying S&P United States REIT Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2007-05-07
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 112 M€
AuM 1M 110 M€
AuM 3 months 115 M€
AuM 6 months 107 M€
AuM 12 months 112 M€
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