Components VanEck Morningstar International Moat ETF - USD

ETF

VE4P

US92189F5935

Real-time BOERSE MUENCHEN 15:47:00 2024-06-19 EDT 5-day change 1st Jan Change
29.94 EUR 0.00% Intraday chart for VanEck Morningstar International Moat ETF - USD -0.53% +6.70%

Composition of VanEck Morningstar International Moat ETF - USD

Weight
981 TWD +4.03%+11.10%+65.43%2.71%
1,616 GBX +0.28%+0.72%+11.47%2.24%
54.8 EUR +0.40%-9.96%-28.76%2.23%
990.8 GBX +0.30%-2.43%-8.13%2.20%
2,015 GBX +0.40%+1.26%+11.54%2.19%
6,706 JPY -0.92%-0.61%+15.62%2.14%
55.08 EUR -0.40%-3.57%-5.72%2.14%
735.8 GBX -0.67%-3.69%-2.28%2.14%
64.3 SEK -1.00%-4.60%-21.89%2.11%
15.38 EUR -0.19%-2.53%+13.17%2.05%
88.54 EUR +1.10%-1.91%-12.15%2.04%
31.31 EUR -2.13%-5.32%-12.20%2.03%
36.92 CHF -0.11%-0.86%+11.61%2.01%
1,485 TWD +5.69%+16.93%+46.31%2.01%
44.94 EUR -0.21%-3.30%-7.86%2.00%
34.69 EUR -3.60%-9.92%-8.23%2.00%
55.22 GBX +0.36%+0.44%+15.74%1.97%
38.21 EUR -4.62%-8.41%-15.55%1.96%
249.8 CHF +0.77%+2.59%+2.17%1.93%
15.59 EUR -1.18%-3.00%+15.24%1.92%
152,000 KRW +0.26%+1.54%-0.78%1.92%
36.26 EUR -1.12%-9.46%-4.48%1.90%
13.08 HKD +0.62%-3.68%-17.22%1.87%
389 HKD +3.18%+4.07%+32.49%1.87%
83.45 HKD +0.54%+0.54%+3.79%1.85%
28.51 EUR -0.42%-5.12%+1.57%1.84%
191.4 CHF +0.03%+1.00%-16.27%1.80%
82.35 HKD +2.43%-3.06%+8.71%1.59%
1,053 DKK +0.24%-4.40%+12.84%1.42%
41.7 EUR +2.53%-0.62%+7.84%1.25%
210.5 TWD -1.64%+0.24%+7.40%1.24%
62,300 ILa +1.47%-5.75%-14.07%1.21%
27.9 EUR -0.92%-2.99%+8.10%1.19%
36,400 KRW +0.28%-1.09%+5.81%1.15%
4.452 EUR -0.01%-3.23%+17.78%1.13%
4,073 JPY +0.62%-2.70%+9.28%1.12%
62 EUR -0.56%-3.20%+0.65%1.10%
50.88 CHF -2.15%-2.86%+7.91%1.09%
26.1 HKD +2.55%-3.87%-3.87%1.09%
3.58 AUD -1.65%-3.50%-5.79%1.08%
92.42 AUD +0.11%-7.21%+22.62%1.08%
6.54 AUD +1.40%-2.53%-14.84%1.07%
69.05 HKD +0.73%+4.86%+4.46%1.06%
6.87 HKD +1.48%-3.65%+6.84%1.04%
26.32 CNY -0.30%-1.50%-1.61%1.04%
52.42 EUR -1.69%-5.34%-11.12%1.03%
63.83 EUR +0.49%-1.53%+2.05%1.03%
2551decab95b6e471cbc42b9223398a.XumlqvPVfHE7dbAFYfF8w-l0xQ8opwo_chzfg7MFHeU.atGWxrjiFBwWDclxBLoas78GikVR63sGOEbqyvZpUtE3npefsooYF1Ut0w

Description

US92189F5935
Total Expense Ratio 0.76%
Asset Class
Sector
Size
Currency
Provider
Underlying Morningstar Global ex-US Moat Focus Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2015-07-12
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 214 M€
AuM 1M 203 M€
AuM 3 months 204 M€
AuM 6 months 220 M€
AuM 12 months 207 M€
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