Components iShares MSCI Mexico ETF - USD

ETF

0JF4

US4642868222

Delayed London S.E. 09:30:00 2023-08-14 EDT 5-day change 1st Jan Change
61.82 USD +34.16% Intraday chart for iShares MSCI Mexico ETF - USD -.--% -.--%

Composition of iShares MSCI Mexico ETF - USD

Weight
155.6 MXN -3.20%-2.86%-8.87%11.71%
197.8 MXN +0.38%+0.93%-10.52%11.36%
63.65 MXN 0.00%-4.13%-11.07%9.88%
16.05 MXN +0.69%-2.07%+1.97%7.78%
105.5 MXN +0.15%-0.33%+12.02%4.93%
13.01 MXN +2.04%+2.20%-1.59%4.50%
317 MXN +0.90%-2.89%+6.94%3.12%
65.57 MXN +0.11%-3.53%-23.71%3.11%
139.1 MXN +2.08%-2.01%-26.61%2.88%
46.75 MXN +1.41%-0.23%+0.09%2.78%
570.7 MXN +1.78%-1.70%+14.73%2.65%
24.47 MXN +2.94%-2.24%-19.95%2.62%
163.9 MXN +1.11%-1.20%-11.60%2.57%
325.1 MXN +0.77%+1.27%+4.48%1.84%
65.57 MXN -0.06%-2.05%-18.80%1.68%
36.21 MXN +2.43%-0.28%-5.13%1.67%
58.78 MXN +0.51%-3.64%-12.83%1.61%
167.1 MXN -0.09%-3.84%-7.05%1.51%
266 MXN +1.67%-3.62%+7.13%1.33%
58.9 MXN -2.95%-3.36%+3.70%1.27%
190.8 MXN +3.22%+3.24%+3.85%1.25%
145.6 MXN +0.87%-0.12%-10.29%1.19%
11.93 MXN -0.58%-1.89%-12.54%1.18%
221.4 MXN +2.32%+12.82%+29.06%1.13%
68.12 MXN +0.18%-1.15%+6.17%1.12%
28.71 MXN -0.28%-4.17%-23.68%1.10%
184.4 MXN -0.94%-1.32%-7.84%1.08%
18 MXN -0.17%-10.63%-24.81%0.97%
38.18 MXN -0.81%-7.87%+5.67%0.89%
26.43 MXN +1.93%+7.09%+12.09%0.86%
31.17 MXN +2.91%-0.51%-1.82%0.82%
11.09 MXN +1.46%+4.03%-2.20%0.75%
36.57 MXN +4.10%+5.12%-16.32%0.72%
31.33 MXN +1.00%-0.85%-10.84%0.54%
29.56 MXN +2.57%+3.57%-15.08%0.52%
13.55 MXN 0.00%+0.67%-15.31%0.44%
18.61 MXN +4.90%+9.09%+31.43%0.42%
3.19 MXN +1.27%-2.15%-22.95%0.33%
29.06 MXN +1.11%+1.04%-3.33%0.31%
53.12 MXN +1.01%+1.16%+40.08%0.31%
21 MXN -0.14%+1.40%+0.19%0.30%
4.94 MXN -0.60%-3.33%-28.72%0.30%
14.28 MXN +1.35%-5.37%+12.97%0.15%
3733e103737bd8d259ccb1637ad8c.fHHJkxP5OPQyASIFXkTw3qkNyNqktxfyHcvWnqB6wu8.PjCB9FW7CMd0chJqah7Hn-VIuLDi6FqDT_6V9MYKsNwLJJHXS71ix2JLVQ

Description

US4642868222
Total Expense Ratio 0.50%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Mexico IMI 25/50 Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
1996-03-10
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 1,874 M€
AuM 1M 1,957 M€
AuM 3 months 1,664 M€
AuM 6 months 1,094 M€
AuM 12 months 1,188 M€
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  4. Components iShares MSCI Mexico ETF - USD