Components SPDR MSCI ACWI ex-US ETF - USD

ETF

CWI

US78463X8487

Market Closed - Nyse 16:00:00 2024-05-29 EDT 5-day change 1st Jan Change
28.56 USD -1.59% Intraday chart for SPDR MSCI ACWI ex-US ETF - USD -2.23% +5.62%

Composition of SPDR MSCI ACWI ex-US ETF - USD

Weight
91.18 CHF -0.50%-4.08%-6.49%1.30%
888.5 EUR -0.84%+4.03%+30.34%1.23%
371 HKD -2.42%-3.28%+26.36%0.96%
724.2 EUR -2.84%-3.68%-1.28%0.92%
2,802 GBX +0.76%+1.49%+8.94%0.91%
229.6 CHF +0.35%-0.99%-6.09%0.87%
90.51 CHF -0.66%-2.84%+6.65%0.86%
3,390 JPY -1.68%-1.37%+30.86%0.78%
11,930 GBX -0.81%-3.48%+12.55%0.74%
45.08 AUD 0.00%-2.09%-10.57%0.72%
175.8 EUR -0.79%-1.95%+26.05%0.70%
141 CAD -1.64%-2.79%+5.19%0.68%
65.63 EUR -0.77%+0.71%+6.54%0.68%
685.1 GBX -0.42%-1.11%+7.80%0.64%
175.7 EUR -0.86%+1.17%+3.43%0.62%
118.3 AUD -1.64%-2.83%+5.85%0.57%
74.98 CAD -1.06%-2.38%-12.43%0.57%
440.3 EUR -1.20%-2.89%-2.30%0.53%
227.4 EUR -2.30%-2.45%+25.07%0.51%
12,495 JPY -0.68%-2.99%-6.82%0.51%
179.2 EUR -1.31%-1.99%+1.73%0.50%
4,224 GBX -0.75%-1.19%+11.16%0.49%
87.71 EUR -0.98%-3.40%-2.28%0.47%
263.9 EUR -0.75%-1.01%+9.07%0.47%
489.1 GBX +0.43%+1.54%+4.92%0.44%
27.91 CHF -1.41%+1.09%+6.93%0.43%
60.4 HKD -0.10%-3.59%-11.24%0.43%
49.37 CHF -0.46%+2.62%+32.36%0.41%
169 CAD -0.23%-3.22%+1.45%0.40%
1,637 JPY +0.55%+5.48%+35.12%0.40%
11.92 EUR -1.85%-2.89%+0.46%0.40%
471 CHF +0.49%-0.13%+7.14%0.40%
278.2 AUD -1.33%+0.21%-2.95%0.38%
156.7 EUR -1.09%-2.28%+12.13%0.37%
119.5 CAD -8.86%-7.62%-8.87%0.37%
21.62 EUR -0.46%-2.22%-0.60%0.36%
5,889 JPY -1.51%-1.36%-0.47%0.36%
2,590 GBX -1.48%-5.66%-9.31%0.35%
35,380 JPY -0.34%-3.41%+40.09%0.35%
5,478 GBX -1.99%-3.73%-6.23%0.35%
151.3 USD +1.04%+2.84%+3.39%0.34%
142.2 CHF -1.08%+1.17%+22.89%0.33%
457.2 EUR -0.44%-0.93%+21.89%0.32%
3,415 GBX -0.32%-1.92%+9.81%0.32%
15,855 JPY -0.56%+6.16%+55.90%0.31%
66.93 EUR -1.27%-0.87%+6.93%0.31%
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ETF Ratings

Description

US78463X8487
Total Expense Ratio 0.30%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI ACWI ex USA Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2007-01-08
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 1,472 M€
AuM 1M 1,481 M€
AuM 3 months 1,421 M€
AuM 6 months 1,300 M€
AuM 12 months 1,403 M€
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  4. Components SPDR MSCI ACWI ex-US ETF - USD