Components Xtrackers MSCI Taiwan UCITS ETF 1C - USD

ETF

XMTD

LU0292109187

Market Closed - London S.E. 11:35:20 2024-05-10 EDT 5-day change 1st Jan Change
60.63 USD +1.44% Intraday chart for Xtrackers MSCI Taiwan UCITS ETF 1C - USD +4.43% +10.44%

Composition of Xtrackers MSCI Taiwan UCITS ETF 1C - USD

Weight
352 TWD -0.98%-1.40%-5.38%0.51%
1,270 TWD -0.39%-5.58%-27.01%0.51%
84.7 TWD +1.56%+4.57%+6.14%0.50%
193.5 TWD +9.01%+7.50%+34.84%0.50%
1,165 TWD +1.75%+6.39%+15.35%0.49%
57 TWD +4.40%+9.62%+7.95%0.48%
92.1 TWD +2.79%+0.33%+12.87%0.45%
13.3 TWD 0.00%-2.92%-6.99%0.41%
515 TWD +2.18%-0.96%-12.27%0.41%
222 TWD +1.60%+0.68%+14.43%0.41%
17.5 TWD 0.00%-4.11%-3.58%0.40%
9.07 TWD +2.37%+4.73%+2.49%0.40%
488 TWD +0.62%-1.41%-13.17%0.39%
1,590 TWD +4.95%+6.00%-7.02%0.38%
35.75 TWD +0.56%-2.46%-7.50%0.38%
162.5 TWD +0.31%-2.69%-7.14%0.36%
70.3 TWD +0.72%-1.95%-12.89%0.34%
18.6 TWD +1.09%+1.92%+3.91%0.34%
64.4 TWD +0.63%-2.13%-17.44%0.33%
60.6 TWD +9.98%+20.24%+18.13%0.33%
25.3 TWD +1.61%+0.40%-16.91%0.32%
746 TWD +1.77%-4.85%-37.83%0.32%
46 TWD +5.87%+4.66%+10.98%0.32%
50 TWD +2.67%+6.61%+11.36%0.31%
24.35 TWD -1.62%-3.94%-17.32%0.31%
34.45 TWD +3.14%+3.77%+10.42%0.31%
85.9 TWD +6.31%+7.11%+22.36%0.29%
17.1 TWD +1.79%+0.29%+24.82%0.29%
37.6 TWD +4.74%-0.27%+19.55%0.28%
340.5 TWD -1.45%-1.59%-3.54%0.25%
312.5 TWD +0.64%+1.13%-9.68%0.24%
37.2 TWD +1.92%+3.62%+20.39%0.24%
120 TWD -0.83%+3.90%+10.09%0.23%
92 TWD +3.25%-0.86%+12.88%0.23%
30.35 TWD +0.33%+1.00%-1.14%0.21%
22.65 TWD +7.09%+5.35%+4.62%0.21%
40.5 TWD +0.75%-4.59%+7.28%0.21%
190 TWD +1.88%+2.98%-24.45%0.17%
417.5 TWD -0.36%-0.48%-17.98%0.15%
63.8 TWD +10.00%+29.15%+16.00%0.12%
2eb8c636557678c71b3fcc58b.2CfNCU_hB13ZlsSN-W2pYDk2dGpndEuXggrXbAGIgLY.l0-OPBytaCutz4zKwFTTVV5_BwQQIT726TKgNmTH5-6MQf09BdFUB-zekQ

ETF Ratings

Description

LU0292109187
Total Expense Ratio 0.65%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Taiwan 20- 35 Custom NTR Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2007-06-18
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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