Components iShares MSCI All Country Asia ex Japan ETF - USD

ETF

0JHN

US4642881829

Delayed London S.E. 09:30:01 2024-05-09 EDT 5-day change 1st Jan Change
70.43 USD +4.53% Intraday chart for iShares MSCI All Country Asia ex Japan ETF - USD -.--% -.--%

Composition of iShares MSCI All Country Asia ex Japan ETF - USD

Weight
960 TWD -0.83%+1.59%+61.89%9.52%
379.4 HKD +2.76%-0.68%+29.22%4.68%
81,800 KRW 0.00%+1.24%+4.20%4.26%
3,105 INR -0.81%+2.54%+20.11%1.70%
53.15 HKD +1.33%-2.39%-21.90%1.33%
137.6 USD +2.77%-0.34%-5.84%1.19%
1,202 INR +0.92%-1.35%+20.57%1.15%
117.1 HKD +4.37%+0.09%+42.98%1.13%
232,000 KRW -1.49%+3.11%+63.96%1.10%
5.8 HKD -1.02%+0.17%+24.73%1.00%
204.5 TWD -5.32%-3.08%+95.69%0.94%
1,627 INR +0.39%+5.63%+5.48%0.90%
1,769 INR +2.20%+3.95%+3.48%0.81%
37.96 SGD +2.32%+6.36%+24.98%0.80%
1,410 TWD -0.35%+1.81%+38.92%0.74%
3,965 INR -1.30%+2.84%+4.53%0.66%
251.6 HKD +1.13%-1.72%-6.12%0.63%
3.83 HKD -0.78%+0.26%+28.52%0.57%
14.98 SGD +1.22%+4.03%+15.23%0.57%
1,420 INR +0.13%-2.62%+37.52%0.57%
4.73 HKD -0.42%+2.38%+23.82%0.56%
16.9 HKD +1.44%-5.16%+8.33%0.54%
9,900 IDR +0.25%+3.12%+5.32%0.53%
1,280 INR +2.07%-0.48%+16.03%0.53%
230.2 HKD +0.88%-3.03%+7.37%0.47%
3,615 INR -0.26%+0.25%+2.49%0.46%
32.27 SGD +1.96%+4.00%+13.43%0.44%
272,500 KRW -4.72%-5.55%+33.91%0.39%
2,878 INR +0.45%+0.93%+66.41%0.38%
71.1 USD +1.07%-5.08%+75.54%0.37%
7,259 INR +1.30%+1.41%-0.94%0.37%
123,600 KRW -3.89%-4.19%+23.60%0.35%
306.5 TWD -0.65%+0.49%+36.53%0.35%
2,510 INR +1.01%+2.60%-5.75%0.35%
12,124 INR +0.67%-0.61%+17.68%0.34%
1,812 INR +2.37%+0.81%-5.06%0.34%
365,500 KRW -1.35%-0.27%-26.83%0.33%
184,500 KRW +0.22%+3.42%-8.44%0.33%
83,200 KRW +4.52%+5.32%+53.79%0.33%
4,570 IDR -1.30%+4.34%-20.17%0.33%
975.6 INR -0.54%+2.51%+24.96%0.32%
383 TWD -1.92%-1.03%+22.17%0.32%
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Description

US4642881829
Total Expense Ratio 0.70%
Asset Class Actions
Sector
Size
Currency
Provider
Underlying MSCI AC ASIA ex JAPAN (2015) USD Net Total Return - USD

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Fund Structure
Replication Model
Date of creation
2008-08-12
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 2,236 M€
AuM 1M 2,100 M€
AuM 3 months 2,251 M€
AuM 6 months 2,186 M€
AuM 12 months 2,664 M€
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