Components Global X MSCI China Health Care ETF - USD

ETF

CHIH

US37954Y5419

Delayed Nyse 5-day change 1st Jan Change
- USD -.--% Intraday chart for Global X MSCI China Health Care ETF - USD +0.49% -10.39%

Composition of Global X MSCI China Health Care ETF - USD

Weight
68.72 CNY +1.64%-0.15%+39.33%-.--%
12.12 HKD -1.78%+10.38%-38.97%-.--%
6.75 HKD +0.60%+11.57%-7.02%-.--%
38.35 CNY -4.84%-14.49%-38.71%-.--%
61.5 CNY +1.64%+6.20%-8.11%-.--%
57.02 CNY -0.90%+2.59%+0.02%-.--%
18.83 CNY -1.15%-2.28%-18.38%-.--%
31.92 CNY +0.31%+10.83%-2.27%-.--%
19.66 HKD +1.24%-6.03%-3.96%-.--%
25.01 CNY -0.28%+7.39%-7.78%-.--%
5.34 HKD +1.71%+6.80%-29.83%-.--%
18.16 HKD -0.11%+11.14%+15.23%-.--%
19.47 CNY +0.05%+1.20%-12.02%-.--%
16.75 CNY +3.97%+6.62%+14.18%-.--%
41.14 CNY +2.34%-2.70%+30.89%-.--%
4.29 HKD -0.23%-0.92%+9.16%-.--%
19.75 CNY -1.00%+8.70%-31.85%-.--%
214.8 CNY -1.38%+6.06%+2.17%-.--%
68.28 CNY -0.32%+2.61%-9.12%-.--%
32.94 CNY -0.09%+3.52%-20.55%-.--%
45.93 USD +4.43%+3.40%-23.67%-.--%
13.84 HKD -4.95%+6.63%-53.24%5.72%
40.65 HKD -2.87%+12.45%-4.91%5.63%
2.85 HKD -1.04%+10.85%-17.58%4.23%
304.6 CNY +0.82%+9.36%+4.81%3.01%
48.9 HKD +0.20%+4.15%+5.39%2.76%
7.35 HKD -0.41%+3.66%-46.82%2.52%
46.16 CNY -0.04%+10.27%+2.06%2.48%
43.67 CNY -2.02%+3.73%-39.98%1.73%
6.58 HKD 0.00%+14.83%-12.50%1.62%
37.1 HKD +0.27%+24.50%+5.10%1.60%
237.2 CNY +0.67%+4.33%-1.96%1.33%
35.1 CNY -1.68%-12.71%-42.56%1.33%
12.9 CNY -1.68%+7.68%-18.46%1.29%
5.08 HKD +0.20%+6.72%-0.97%1.07%
57.25 CNY +2.23%+1.45%+16.48%0.93%
6.59 HKD -0.75%+17.47%-21.73%0.87%
42.33 CNY -2.38%+0.95%-21.17%0.72%
70.7 CNY -2.19%+8.97%-9.59%0.68%
7.18 CNY -0.28%+1.70%-10.25%0.61%
19.2 CNY +1.69%+9.46%+13.21%0.58%
23.67 CNY -0.17%+4.09%-5.43%0.57%
33.95 CNY +3.41%+13.43%+16.87%0.56%
113.1 CNY -1.20%+2.41%-22.46%0.54%
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ETF Ratings

Description

US37954Y5419
Total Expense Ratio 0.65%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI China Health Care 10/50 NTR Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2018-12-06
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-01-30 )

AuM (EUR) 6 M€
AuM 1M 8 M€
AuM 3 months 8 M€
AuM 6 months 9 M€
AuM 12 months 10 M€
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