Components SPDR Global Dow ETF - USD

ETF

DGT

US78464A7063

Delayed Nyse 12:58:06 2024-05-21 EDT 5-day change 1st Jan Change
131.2 USD -0.01% Intraday chart for SPDR Global Dow ETF - USD +1.49% +10.22%

Composition of SPDR Global Dow ETF - USD

Weight
63.92 USD -1.32%-1.08%+4.02%0.62%
32.52 USD +2.22%+5.45%+7.79%0.62%
386 USD -1.39%-6.49%-3.47%0.62%
12,364 GBX +2.22%+0.96%+16.64%0.62%
251.8 USD -1.13%-3.04%-0.71%0.62%
805.2 USD +2.81%+5.17%+37.83%0.62%
95.3 CHF -1.37%+0.70%-2.27%0.61%
66.81 EUR -0.48%-3.63%+6.81%0.61%
27.44 EUR -1.44%+0.70%+14.24%0.61%
100.4 USD +0.79%+0.45%+6.60%0.61%
52.3 USD +2.06%+0.27%+19.76%0.61%
182.3 USD +4.20%+2.09%-27.05%0.61%
131 USD -0.02%+1.87%+20.23%0.61%
151 USD -0.21%-0.30%-3.71%0.61%
2,040 JPY +0.15%+1.07%+9.38%0.60%
180.7 USD +0.22%+0.58%+6.52%0.60%
64.84 USD +1.02%+8.40%+23.48%0.60%
75.24 GBX -2.49%+2.67%+9.74%0.60%
145.4 USD -1.48%-1.74%-7.54%0.59%
27.92 USD -1.01%-0.96%-3.53%0.59%
3,346 JPY -0.27%+1.15%+3.59%0.59%
4,133 JPY -0.77%+0.76%+1.95%0.59%
3,414 JPY +0.18%+1.22%+51.50%0.59%
167.7 USD +0.25%+1.16%+14.43%0.58%
2,872 INR +0.03%+2.38%+11.11%0.58%
120.7 USD -0.14%-0.24%+4.03%0.58%
1,746 JPY -1.38%-0.60%+19.07%0.57%
490.8 GBX -0.09%-2.29%+5.29%0.57%
4,690 JPY +0.17%+1.93%+27.17%0.56%
383.6 HKD -2.89%+1.43%+30.65%0.56%
46.96 USD -0.37%-3.96%-6.95%0.56%
76.39 USD +0.69%+1.33%+25.81%0.55%
80.75 CAD +2.76%+2.85%+8.14%0.55%
1,340 JPY -0.48%+2.02%-4.05%0.54%
159.8 USD -0.81%-2.14%+7.34%0.54%
48.36 USD +0.28%-0.34%-6.89%0.54%
118.2 USD -0.42%+0.59%+18.39%0.54%
7.72 HKD 0.00%+1.31%+49.61%0.51%
28.46 USD -0.23%+0.25%-1.18%0.51%
36.87 BRL -4.82%-9.86%-1.07%0.46%
85.94 USD -2.64%+7.36%+10.13%0.46%
177.1 USD +0.11%+3.83%+26.62%0.34%
78,400 KRW -0.63%0.00%-0.13%0.16%
2,804 GBX -0.02%-3.36%+9.02%0.10%
701b4322c0.KRbLQ6EBFrwPEK57miUME63_w_KTne7Gd4YAqJWYWCI.fESvNs9lZtVNJsMP-2hCd-up8ZnC-YPzRe1m0cHwO1VKUI8X-UMkxDtDmg

ETF Ratings

Description

US78464A7063
Total Expense Ratio 0.50%
Asset Class
Sector
Size
Currency
Provider
Underlying The Global Dow Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2000-09-23
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 185 M€
AuM 1M 184 M€
AuM 3 months 169 M€
AuM 6 months 150 M€
AuM 12 months 120 M€
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