Components IQ 50 Percent Hedged FTSE International ETF - USD

ETF

HFXI

US45409B5600

Delayed Nyse 13:57:06 2024-05-02 EDT 5-day change 1st Jan Change
26.33 USD +0.74% Intraday chart for IQ 50 Percent Hedged FTSE International ETF - USD +0.11% +5.94%

Composition of IQ 50 Percent Hedged FTSE International ETF - USD

Weight
91.82 CHF -0.41%-2.59%-5.84%1.69%
811.4 EUR -2.56%-2.74%+19.03%1.66%
77,500 KRW +1.04%+1.84%-1.27%1.60%
3,581 JPY -0.67%+1.99%+38.24%1.22%
2,873 GBX +1.92%-0.76%+11.72%1.18%
214.1 CHF -2.95%-6.79%-12.43%1.15%
767 EUR -0.96%-4.08%+4.55%1.13%
88.87 CHF -0.20%-0.08%+4.71%1.12%
12,156 GBX -0.12%+7.88%+14.68%1.10%
42.38 AUD +0.14%-6.86%-15.93%0.95%
168.5 EUR -0.68%-3.61%+20.83%0.95%
705 GBX +1.08%+5.59%+10.94%0.87%
66.85 EUR -2.54%-1.56%+8.52%0.85%
175.2 EUR -0.40%-0.08%+3.11%0.77%
115 AUD +0.95%+0.37%+2.86%0.72%
4,180 GBX +0.97%+8.26%+10.00%0.67%
13,060 JPY -0.31%+4.52%-2.61%0.64%
436.7 EUR -0.67%-0.91%-3.10%0.62%
213.5 EUR -0.74%+2.08%+17.45%0.60%
91.9 EUR -1.27%+3.43%+2.38%0.60%
267.4 EUR +0.30%-1.15%+10.52%0.59%
1,554 JPY -0.61%-0.03%+28.27%0.56%
59.35 HKD +2.68%+21.74%-12.78%0.56%
515.8 GBX +1.26%-1.40%+10.65%0.56%
181.1 EUR -1.53%-4.99%+2.80%0.56%
275.4 AUD +0.33%-1.28%-3.93%0.53%
24.29 CHF +0.08%-5.74%-6.93%0.52%
153.6 EUR -0.71%-5.62%+9.87%0.51%
69,360 JPY +0.20%+7.75%+11.65%0.48%
5,989 JPY -1.40%-3.53%+1.22%0.46%
21.73 EUR +1.12%-0.09%-0.09%0.46%
5,442 GBX +0.29%+2.35%-6.85%0.45%
35,010 JPY +0.20%+7.72%+38.63%0.45%
2,728 GBX -0.51%-3.21%-4.46%0.45%
11.58 EUR +0.56%+0.30%-2.49%0.44%
458.7 GBX -0.56%-2.09%-2.84%0.42%
67.45 EUR -0.24%-0.88%+7.76%0.42%
2,240 EUR +0.45%-4.88%+16.74%0.41%
440.7 CHF -0.79%-2.89%+0.25%0.40%
1,728 GBX +1.38%+4.69%+19.19%0.40%
128.2 CHF +0.20%-0.93%+10.71%0.40%
3,284 GBX +0.79%-2.38%+5.59%0.40%
45.06 CHF +0.38%+1.33%+20.80%0.38%
14,455 JPY -0.24%+9.38%+42.13%0.38%
34.28 AUD +1.45%+1.30%+11.66%0.37%
8,870 JPY -1.38%+0.94%+28.92%0.37%
2,371 GBX +0.94%+0.47%+3.29%0.36%
110.1 EUR -0.14%-1.26%-3.17%0.36%
202.8 EUR -0.69%-2.97%+27.18%0.35%
6,834 JPY -0.09%+8.22%+14.61%0.35%
5d00c89d96.yVQPESCz-lit3V1QQIaiN5b1wHAD4WSt_4pSqoYyccE.sBhjYmaLvzX85CQZFuvvUdS69EhijizCur1_-9FBA4KLGTxdZuuYAuS1Ng

ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2015-07-21
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-26 )

AuM (EUR) 516 M€
AuM 1M 489 M€
AuM 3 months 437 M€
AuM 6 months 384 M€
AuM 12 months 277 M€
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