Components Vanguard FTSE North America UCITS ETF Accumulating - USD

ETF

VNRA

IE00BK5BQW10

Market Closed - Swiss Exchange 11:41:11 2024-06-17 EDT 5-day change 1st Jan Change
118.3 CHF +0.32% Intraday chart for Vanguard FTSE North America UCITS ETF Accumulating - USD +0.22% +20.15%

Composition of Vanguard FTSE North America UCITS ETF Accumulating - USD

Weight
448.4 USD +1.31%+5.79%+19.23%6.39%
216.7 USD +1.97%+10.05%+12.54%5.48%
131 USD -0.68%+8.35%+164.49%4.53%
184.1 USD +0.22%-0.13%+21.14%3.48%
177.2 USD +0.25%+1.59%+26.88%2.13%
506.6 USD +0.49%+2.77%+43.13%2.10%
885 USD +0.75%+4.12%+51.82%1.46%
1,829 USD +5.41%+30.02%+63.84%1.24%
195 USD +0.62%-2.49%+14.63%1.22%
187.4 USD +5.30%+5.61%-24.57%1.12%
108.4 USD -0.69%-3.89%+8.38%1.04%
489.2 USD -1.17%-0.30%-7.07%0.99%
271.2 USD +0.19%-2.69%+4.16%0.94%
167.5 USD +0.43%+0.26%+14.30%0.85%
448.1 USD +0.78%-0.37%+5.06%0.83%
146 USD +0.28%-0.77%-6.88%0.77%
349.5 USD +0.77%+6.87%+0.85%0.74%
127.5 USD -0.94%-2.43%+16.95%0.72%
867.9 USD +1.43%+2.64%+31.49%0.71%
169.7 USD +0.65%+0.15%+9.49%0.63%
153.2 USD +0.41%-1.85%+2.70%0.61%
39.51 USD +0.69%-0.68%+17.34%0.56%
67.42 USD +0.60%+2.34%+28.30%0.56%
158.4 USD -0.77%-5.64%+7.46%0.56%
230.5 USD -0.63%-4.70%-12.41%0.56%
166.1 USD +1.42%-2.86%-2.18%0.53%
62.62 USD +0.11%-2.02%+6.26%0.53%
675.8 USD +0.96%+5.36%+38.81%0.52%
568 USD -0.71%-2.25%+7.01%0.48%
440.6 USD +0.84%+1.60%+7.28%0.47%
518.7 USD -1.25%+11.45%-13.05%0.46%
101.5 USD +1.55%-0.02%+12.44%0.45%
253.5 USD -0.03%-1.05%-14.50%0.44%
45.69 USD +0.02%-0.33%-9.56%0.42%
285.5 USD -0.41%-1.00%-18.63%0.42%
222.2 USD +3.20%+7.55%+53.65%0.41%
103.4 USD -0.22%-3.84%-6.01%0.40%
141.3 USD +2.30%+12.22%+34.03%0.39%
163.2 USD +4.72%+0.81%+27.89%0.39%
602.5 USD +1.14%+4.99%-3.60%0.38%
322.4 USD +0.29%-1.99%+9.04%0.38%
39.46 USD -0.53%-3.62%+4.67%0.37%
242.9 USD +2.46%+9.53%+49.85%0.37%
254.1 USD -0.28%-3.40%+9.85%0.36%
194.9 USD +0.52%-0.36%+14.34%0.35%
169.5 USD +0.17%-0.30%+3.64%0.33%
109.5 USD +0.14%-2.20%-5.63%0.33%
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ETF Ratings

Description

IE00BK5BQW10
Total Expense Ratio 0.10%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE North America Index NTR - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2019-07-22
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 1,096 M€
AuM 1M 1,040 M€
AuM 3 months 970 M€
AuM 6 months 779 M€
AuM 12 months 669 M€
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