Components Global X MSCI Consumer Staples ETF - USD

ETF

CHIS

US37954Y5583

Delayed Nyse 5-day change 1st Jan Change
- USD -.--% Intraday chart for Global X MSCI Consumer Staples ETF - USD -0.34% -11.29%

Composition of Global X MSCI Consumer Staples ETF - USD

Weight
47.65 HKD -0.63%+7.56%+5.54%9.68%
1,705 CNY +0.06%+1.79%-1.22%9.42%
16.76 HKD -0.59%+5.67%-20.19%7.73%
37.15 HKD +3.05%+6.14%+8.63%7.18%
30.5 HKD +1.50%+26.56%-21.99%5.51%
150.4 CNY -0.87%+4.06%+7.21%4.58%
58.25 HKD +1.30%+6.68%+11.16%4.02%
4.52 HKD +1.12%+0.89%-4.24%3.19%
3.28 HKD 0.00%+21.93%-22.64%2.89%
262.3 CNY +1.65%+7.64%+13.69%2.74%
27.05 HKD +1.50%+6.92%-6.88%2.70%
8.9 HKD +0.45%+4.22%-6.51%2.68%
186.1 CNY -1.53%+4.43%+3.72%2.46%
4.44 HKD +2.54%+3.50%+3.98%2.28%
43.62 CNY -.--%-3.41%+5.93%2.21%
7.28 HKD +0.14%+6.28%+12.00%1.75%
28.61 CNY +1.13%+2.58%+6.95%1.74%
39.26 CNY -0.78%+3.32%+3.45%1.70%
95.07 CNY -0.82%-2.38%-13.49%1.66%
23.45 HKD -.--%-.--%+3.08%1.47%
19.18 CNY +0.52%+0.74%-4.39%1.44%
12.32 HKD +2.33%+17.78%-30.63%1.28%
6 HKD 0.00%+1.18%+8.11%1.17%
26.94 CNY +0.15%-2.14%+0.86%1.14%
271.2 CNY +1.95%+4.69%+16.51%1.07%
49.87 CNY -0.54%+2.30%+11.04%0.92%
57.42 CNY -3.51%-0.64%+17.78%0.76%
43.94 CNY +2.16%+1.83%+9.74%0.69%
71 CNY -0.93%+12.16%+7.11%0.68%
31.4 CNY +0.54%+2.82%-5.93%0.66%
8.92 CNY -4.09%-4.09%-4.29%0.60%
29.82 CNY -0.17%+2.83%-15.24%0.55%
21.78 CNY +0.83%-1.13%-12.53%0.51%
45.09 CNY -0.04%+2.24%-23.28%0.50%
70.37 CNY +3.41%+8.26%+5.90%0.48%
4.69 CNY -0.21%+3.30%-21.31%0.47%
15.84 CNY -0.31%+2.00%-6.99%0.47%
41.82 CNY +2.05%+7.26%-7.68%0.46%
12.06 CNY -2.19%-2.35%-14.47%0.45%
9.89 CNY +0.92%-0.40%+14.60%0.44%
92.28 CNY +1.08%+8.86%-11.79%0.44%
13.08 CNY +0.69%+0.08%+9.27%0.44%
15.66 CNY +0.32%-2.31%-8.85%0.44%
20.4 CNY -0.54%-0.83%-17.11%0.41%
29.5 CNY +0.07%+9.02%+4.98%0.39%
51.09 CNY +0.16%+3.09%-30.16%0.37%
57.16 CNY -0.24%+1.84%-16.15%0.34%
20.31 CNY +3.10%+9.61%-24.39%0.33%
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ETF Ratings

Description

US37954Y5583
Total Expense Ratio 0.65%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI China Consumer Staples 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) 7 M€
AuM 1M 8 M€
AuM 3 months 9 M€
AuM 6 months 33 M€
AuM 12 months 38 M€
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