Components iShares Core Aggressive Allocation ETF - USD

ETF

AOA

US4642898591

Delayed Nyse 15:39:09 2024-05-10 EDT 5-day change 1st Jan Change
73.23 USD +0.11% Intraday chart for iShares Core Aggressive Allocation ETF - USD +2.39% +6.02%

Composition of iShares Core Aggressive Allocation ETF - USD

Weight
183.1 USD -0.66%-0.19%-4.94%3.08%
414.6 USD +0.56%+1.94%+10.24%3.06%
187.6 USD -1.02%+0.74%+23.46%1.51%
896.8 USD +1.05%+1.03%+81.15%1.34%
168.7 USD -0.74%+0.81%+20.70%0.90%
476 USD +0.12%+5.13%+34.23%0.86%
168.4 USD -2.05%-6.70%-31.97%0.75%
199 USD +0.74%+4.43%+16.96%0.54%
1,331 USD +1.97%+4.27%+19.39%0.54%
513.1 USD +1.20%+3.99%-2.73%0.53%
761.1 USD -1.35%+3.65%+30.69%0.51%
802 TWD +0.75%+3.89%+35.24%0.49%
280.8 USD +0.80%+4.51%+7.78%0.45%
118 USD -0.33%+1.77%+18.07%0.44%
149.9 USD +0.06%+0.32%-4.46%0.41%
883.2 DKK +0.07%+1.16%+26.51%0.39%
456.9 USD +0.31%+2.91%+7.02%0.39%
346.6 USD -0.25%+0.82%-0.26%0.38%
167 USD +0.60%+1.59%+14.01%0.38%
95.18 CHF +1.04%+3.77%-2.39%0.35%
864.5 EUR +1.96%+3.42%+26.82%0.35%
786.6 USD +0.97%+5.55%+18.95%0.32%
130.3 USD +0.05%+2.34%+19.70%0.30%
160.8 USD +0.25%-1.86%+3.73%0.30%
79,200 KRW -0.63%+1.54%+0.89%0.30%
481.4 USD -0.27%-0.94%-19.28%0.30%
166.1 USD +0.38%+3.58%+11.28%0.29%
276.4 USD +0.44%+0.95%+4.99%0.28%
151.6 USD -0.51%+1.00%+3.18%0.26%
371 HKD +0.32%+2.94%+26.36%0.26%
788.4 EUR -0.08%+0.82%+7.47%0.26%
179.8 USD +0.99%+2.19%+5.98%0.26%
38.48 USD +0.54%+3.41%+14.40%0.25%
63.29 USD +0.65%+1.80%+7.40%0.25%
2,946 GBX +1.29%+3.06%+14.56%0.25%
60.52 USD +0.12%+1.09%+15.08%0.25%
306.3 USD -0.10%+0.85%-12.71%0.24%
12,370 GBX +0.31%+2.66%+16.70%0.24%
92.32 CHF +1.97%+4.94%+8.78%0.24%
274.9 USD +2.59%+1.65%-7.33%0.24%
225.1 CHF +1.26%+3.59%-7.93%0.23%
609.9 USD -0.35%+5.36%+25.36%0.23%
29.94 USD -0.52%-3.03%-40.37%0.23%
593.6 USD +2.70%+3.63%+11.75%0.22%
48.06 USD +0.55%+1.92%-4.94%0.22%
3,425 JPY -2.92%-4.36%+32.21%0.22%
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Description

US4642898591
Total Expense Ratio 0.19%
Asset Class
Currency
Provider
Underlying S&P Target Risk Aggressive Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2008-11-03
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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