Components BlackRock Future Innovators ETF - USD

ETF

BFTR

US09290C2026

Delayed Nyse 01:02:23 31/10/2023 am IST 5-day change 1st Jan Change
23.9 USD +0.03% Intraday chart for BlackRock Future Innovators ETF - USD -2.81% -1.80%

Composition of BlackRock Future Innovators ETF - USD

Weight
294.2 USD -1.38%+1.06%+13.90%3.86%
474.3 USD +3.40%+2.97%+8.23%3.26%
57.99 USD +1.75%-0.97%-15.94%3.12%
135.4 USD +0.68%+1.39%+13.00%2.87%
821.7 USD +1.51%-0.54%+30.26%2.74%
178.3 USD -0.67%+3.60%-25.09%2.74%
106 USD -0.65%+0.26%+16.64%2.73%
29.53 USD -0.24%+9.09%+26.20%2.62%
589.8 USD +0.65%+1.96%+1.59%2.61%
223.6 USD -1.40%-1.61%+25.01%2.58%
71.65 USD -0.24%-2.73%-7.14%2.50%
304.1 USD -3.74%-3.85%+47.87%2.49%
126.1 USD -0.42%+0.59%-29.89%2.43%
49.36 USD -0.64%-4.29%-5.40%2.39%
73.59 USD -0.45%+1.18%+0.81%2.33%
250 USD +2.38%+9.85%-38.86%2.31%
42.13 USD +1.20%-5.33%+10.14%2.28%
208.7 USD +0.01%+1.04%-8.01%2.24%
144.3 USD +0.61%+2.51%+5.88%2.20%
711.8 EUR +1.69%+0.25%+51.46%2.17%
192.2 USD +1.58%+7.04%-13.26%2.16%
48.19 USD +0.79%-5.77%-28.59%2.10%
206.6 USD -0.37%-2.37%-12.61%2.07%
329.4 USD +0.19%-1.01%-6.46%2.04%
30.38 USD -0.23%-2.03%-16.77%1.92%
41.45 USD -1.00%+0.58%-3.98%1.90%
52.62 USD +4.57%+9.06%-35.51%1.85%
133.8 USD -1.11%-17.62%-34.21%1.81%
422.7 USD -0.84%+1.90%+64.73%1.80%
1,104 SEK -0.59%+2.17%-8.17%1.76%
197.9 USD +3.95%-0.34%-10.11%1.70%
200.5 USD +0.43%+3.15%-31.52%1.55%
50.5 USD +1.81%+5.54%-17.43%1.49%
52.36 USD +1.41%+1.57%+41.67%1.48%
53.95 USD +1.05%-2.49%-11.98%1.41%
131.8 USD -0.27%-3.04%-20.02%1.35%
5.09 AUD -0.20%-0.78%-0.78%1.33%
23.79 USD -2.18%-2.86%-25.63%1.25%
37.55 USD +2.18%+11.09%+8.49%1.22%
19.36 USD +2.46%-2.40%-25.61%1.16%
12.56 NOK +0.48%-4.34%-37.14%1.11%
44.1 USD +2.11%+6.21%-43.96%1.09%
201.8 USD -2.50%-1.13%-7.00%1.07%
52.62 USD +1.00%-7.15%-19.22%0.90%
13.85 USD +1.47%+1.54%-21.26%0.88%
34.75 USD +2.60%+2.63%-5.29%0.82%
22.93 USD +0.75%+7.15%-0.95%0.79%
49.72 USD +0.55%+13.46%-21.03%0.69%
58.98 USD +0.44%-1.98%-27.23%0.69%
5.33 USD +1.91%+20.59%-23.31%0.61%
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Description

US09290C2026
Total Expense Ratio 0.80%
Asset Class Actions
Sector
Size
Currency
Provider

Features and characteristics

Dividend Policy Distribution
Jurisdiction
Fund Structure
Date of creation
29/09/2020
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/10/2023 )

AuM (EUR) 5 M€
AuM 1M 6 M€
AuM 3 months 6 M€
AuM 6 months 6 M€
AuM 12 months 7 M€
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