Components Fidelity Emerging Markets Quality Income UCITS ETF INC - USD

ETF

FEMC

IE00BYSX4739

Delayed Swiss Exchange 09:25:02 29/05/2024 am IST 5-day change 1st Jan Change
4.157 GBX +0.06% Intraday chart for Fidelity Emerging Markets Quality Income UCITS ETF INC - USD -1.03% +6.37%

Composition of Fidelity Emerging Markets Quality Income UCITS ETF INC - USD

Weight
1,60,500 KRW -3.72%-3.37%-5.59%2.48%
634 INR -1.94%-1.01%+40.69%2.40%
1,59,600 KRW +0.06%+0.76%+4.18%1.86%
40,850 KRW -0.73%-2.39%-30.29%1.80%
1,507 INR -1.51%+3.38%-11.75%1.75%
5.69 HKD -2.57%-3.40%+22.37%1.61%
1,451 INR -1.11%-0.26%-5.96%1.60%
200.6 INR +0.05%-0.07%+23.75%1.57%
76.5 SAR -1.42%-4.61%-11.56%1.51%
185.5 TWD -0.27%-2.37%+6.00%1.39%
1,101 INR -2.33%-0.96%+10.42%1.38%
623 TWD +2.64%+2.81%+20.50%1.20%
4.55 HKD -1.94%-4.41%+19.11%1.18%
34.25 SAR +3.79%-2.70%-11.51%1.14%
541 TWD +1.69%+2.27%+14.74%1.11%
56.4 TWD -0.35%+4.64%+7.22%1.10%
412.5 TWD +0.24%+1.85%-1.79%1.09%
5,950 IDR +2.15%-1.24%-1.65%1.08%
67.9 ZAR +0.24%-2.19%-7.63%1.07%
200 TWD 0.00%+19.40%-1.96%1.06%
64.56 MXN -0.72%-3.32%-9.79%1.05%
330 TWD +1.85%0.00%+24.06%1.02%
36.75 TWD -2.13%-2.65%+29.63%1.01%
185.6 ZAR +0.75%-2.34%-10.82%1.01%
11.62 HKD -1.69%+1.75%+6.41%0.99%
49.57 PLN -0.06%-4.58%+4.84%0.99%
865 TWD -0.46%+2.85%+45.87%0.98%
525.1 ZAR -0.45%-2.08%-14.59%0.97%
510.6 INR -1.28%+9.88%+33.43%0.96%
116.5 TWD -3.72%+14.78%-0.43%0.96%
200.5 TWD +1.26%+0.25%+50.75%0.94%
5.29 HKD -0.94%-7.19%-12.99%0.93%
32.85 TWD +0.46%+2.50%+19.02%0.91%
73.8 TWD +0.41%+1.23%+13.89%0.91%
3.74 HKD -1.84%-1.58%+24.25%0.87%
4.12 MYR -0.24%-1.67%-3.96%0.87%
73.24 ZAR -0.52%-1.00%+0.60%0.86%
36.3 SAR -0.27%-3.97%-10.15%0.86%
25.2 SAR +3.53%-3.27%-11.75%0.85%
85.95 HKD -2.00%-3.70%+13.47%0.85%
15.5 AED -0.64%-4.62%-10.40%0.84%
18.3 TWD -0.27%+2.23%+0.83%0.83%
4.68 HKD -2.09%-2.90%+33.33%0.82%
7,294 INR -0.31%+1.11%-16.82%0.76%
3,83,000 KRW -1.42%-2.67%-23.32%0.75%
11.62 QAR +0.17%-2.84%-11.16%0.75%
1,80,900 KRW +0.72%-2.85%-10.22%0.73%
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Description

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
08/09/2019
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 80 M€
AuM 1M 74 M€
AuM 3 months 69 M€
AuM 6 months 73 M€
AuM 12 months 95 M€
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