Components Global X China Materials ETF - USD

ETF

CHIM

US37950E2422

Delayed Nyse 12:45:27 2024-02-16 EST 5-day change 1st Jan Change
13.3 USD -0.19% Intraday chart for Global X China Materials ETF - USD -0.61% -6.98%

Composition of Global X China Materials ETF - USD

Weight
4.02 CNY -0.25%-0.74%+22.56%-.--%
28.95 CNY +0.87%-6.61%-0.89%-.--%
17.32 HKD -0.80%+6.00%+36.16%9.71%
18.1 HKD -3.10%+3.42%+0.44%4.88%
89.85 CNY +3.59%+4.13%+16.96%3.81%
5.27 HKD +0.96%+11.34%+35.90%3.56%
7.43 HKD +0.27%+8.45%+74.24%3.53%
10.92 HKD +2.06%+11.96%+69.95%3.51%
16.14 HKD +0.12%+5.49%+46.20%2.91%
3.03 HKD -3.81%+7.45%-9.28%2.86%
12.78 HKD -0.93%+8.47%+31.82%2.73%
7.03 CNY -0.85%-3.43%+18.55%2.29%
11.6 CNY +4.04%+4.32%+12.08%1.70%
29.24 CNY -2.50%-3.78%+27.85%1.58%
16.56 CNY -0.66%-1.19%+12.12%1.55%
3.46 HKD -0.86%+7.81%-10.39%1.54%
15.5 CNY +0.65%-0.45%+17.69%1.31%
17 CNY +3.34%-1.51%+6.58%1.20%
19.88 CNY 0.00%-0.15%+2.79%1.18%
40.79 CNY +4.94%-11.31%-26.89%1.18%
1.62 CNY 0.00%0.00%+10.96%1.13%
29.41 CNY +3.56%+0.38%+6.60%1.12%
36.59 CNY +6.68%+0.52%-14.51%1.07%
18.4 CNY -3.66%-2.18%+22.67%1.02%
23.98 CNY +1.40%+7.44%+45.42%0.91%
10.36 CNY +4.75%-0.10%+7.92%0.90%
42.62 CNY +7.63%+7.03%-24.99%0.87%
29.05 CNY +2.83%-4.19%-11.78%0.83%
20.93 CNY +1.85%+4.70%+22.18%0.83%
5.76 CNY -0.35%+1.23%+11.84%0.79%
13.37 CNY -0.07%-5.78%-11.63%0.78%
15.52 CNY -1.34%-4.32%+27.53%0.78%
19.1 CNY +3.75%+6.76%-8.74%0.77%
12.02 CNY +0.84%-4.22%+22.28%0.75%
19.12 CNY +4.25%-1.29%+29.63%0.73%
3.37 CNY -2.03%-4.53%+14.63%0.71%
13.34 CNY -0.07%+3.17%+33.94%0.70%
4.16 CNY +1.22%+5.05%+11.23%0.70%
21.72 CNY +4.12%+6.31%-13.40%0.64%
18.65 CNY +4.36%-1.84%+12.15%0.59%
3.26 CNY +1.24%+4.49%-0.61%0.58%
7.42 CNY +5.40%+6.92%+10.42%0.57%
28.62 CNY +0.28%-3.57%+12.94%0.56%
14.37 CNY -2.04%+0.42%+17.59%0.56%
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ETF Ratings

Description

US37950E2422
Total Expense Ratio 0.66%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI China Materials 10/50 Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2010-01-11
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-01-30 )

AuM (EUR) 2 M€
AuM 1M 2 M€
AuM 3 months 3 M€
AuM 6 months 3 M€
AuM 12 months 5 M€
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