Components KraneShares Emerging Markets Consumer Technology ETF - USD

ETF

KEMQ

US5007678767

Delayed Nyse 16:10:00 2024-05-01 EDT 5-day change 1st Jan Change
15.02 USD +0.25% Intraday chart for KraneShares Emerging Markets Consumer Technology ETF - USD +2.28% +2.21%

Composition of KraneShares Emerging Markets Consumer Technology ETF - USD

Weight
174,200 KRW -0.97%+1.52%+23.11%3.66%
790 TWD -0.63%+6.47%+33.22%3.60%
63.06 USD +0.55%+0.01%+55.15%3.55%
119.1 HKD +8.77%+9.67%+45.42%3.31%
132 USD +6.06%+3.54%-10.98%3.28%
360.4 HKD +3.80%+8.42%+22.75%3.19%
3,607 ZAR -0.27%+5.12%+15.33%3.15%
48,600 KRW +0.21%-0.82%-10.50%2.62%
176,100 KRW -1.07%+3.35%-26.78%2.61%
66.1 TWD -2.07%+8.01%-15.26%2.61%
30.05 HKD +10.68%+24.69%-23.15%2.57%
50.7 TWD +0.60%+3.68%-3.61%2.56%
184,400 KRW -0.16%+1.93%-17.68%2.53%
9.32 HKD +11.48%+23.44%-18.10%2.52%
55,900 KRW +0.72%-4.61%-3.79%2.52%
86 TWD -2.93%+5.91%+5.52%2.50%
195.4 INR +1.19%+4.27%+58.00%2.45%
3.28 HKD +10.81%+21.93%-22.64%2.41%
59.2 HKD +5.81%+20.57%+11.80%2.32%
22.19 USD -0.09%-3.67%+37.03%2.31%
1,456 USD -0.03%+6.54%-7.54%2.30%
239,500 KRW -0.21%-7.53%+23.71%2.23%
2,470 JPY -1.83%-1.59%-3.87%2.10%
15.92 HKD +2.05%+11.48%-15.68%0.80%
15.58 EUR -0.22%-6.37%+1.43%0.79%
12.32 USD 0.00%+4.06%-1.36%0.78%
21,800 KRW -.--%+4.31%-15.67%0.77%
372.2 INR -0.05%-2.74%-41.43%0.76%
272.5 TWD -0.18%+7.07%-1.45%0.75%
15.68 USD +4.71%-0.89%-12.16%0.74%
20.65 HKD -0.48%-6.14%+43.01%0.74%
32,050 KRW +1.26%+9.39%-17.29%0.74%
442 TWD -.--%+10.78%-13.16%0.74%
22.85 TWD -1.51%+5.30%-22.41%0.73%
88.3 TWD +1.96%+1.85%+8.21%0.72%
0.49 HKD +4.26%+12.64%+2.08%0.71%
16 AUD +0.69%-0.87%-20.12%0.70%
146 TWD +0.69%+6.57%-8.18%0.70%
12.04 HKD +8.08%+15.11%-32.21%0.70%
14 USD -0.11%-2.17%-21.03%0.69%
27.61 BRL -4.43%-2.78%-18.02%0.68%
0.57 BRL +7.55%+9.62%-37.36%0.66%
47,300 KRW -1.46%+2.83%-22.33%0.64%
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Description

US5007678767
Total Expense Ratio 0.79%
Asset Class
Sector
Size
Currency
Provider
Underlying Solactive Emerging Markets Consumer Technology GTR Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2017-10-10
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-26 )

AuM (EUR) 17 M€
AuM 1M 21 M€
AuM 3 months 9 M€
AuM 6 months 11 M€
AuM 12 months 28 M€
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