Components First Trust Indxx NextG ETF - Distributing - USD

ETF

NXTG

US33737K2050

Market Closed - Nasdaq 01:45:00 04/05/2024 am IST 5-day change 1st Jan Change
76.6 USD +1.51% Intraday chart for First Trust Indxx NextG ETF - Distributing - USD +1.52% -0.17%

Composition of First Trust Indxx NextG ETF - Distributing - USD

Weight
50,800 KRW -0.39%-0.97%+1.40%-.--%
47.77 USD +0.55%+2.49%+6.13%-.--%
51.5 EUR +0.86%+0.63%+25.09%-.--%
179.6 USD -0.26%+8.44%+24.21%-.--%
4,422 JPY +0.43%+0.96%-1.43%-.--%
1,898 JPY -0.21%+1.04%+7.87%-.--%
30.9 USD +1.28%-3.07%-38.51%-.--%
170.4 JPY -0.06%+1.31%-1.10%-.--%
2,463 JPY +1.36%+1.55%+15.77%-.--%
91.36 USD +2.12%-2.39%+1.31%-.--%
51.4 TWD +2.19%+3.21%-2.28%-.--%
1,58,800 KRW +0.25%+0.13%-6.59%-.--%
92,400 KRW +0.98%+1.76%-9.23%-.--%
353.6 USD +5.18%+2.07%+12.95%-.--%
93 ZAR +1.81%+3.92%-12.26%-.--%
47.12 USD +0.71%-1.55%-6.73%-.--%
257.8 USD +1.41%+6.24%+12.26%-.--%
129.4 NOK -0.84%+0.94%+10.98%-.--%
4.72 NZD 0.00%+1.51%-8.88%-.--%
1,760 PHP +1.32%+0.57%+2.33%-.--%
9.957 QAR -2.38%-0.07%-12.66%-.--%
92.51 USD +3.11%-11.30%-17.71%-.--%
45.96 CAD +1.82%+3.07%-11.90%-.--%
52.57 CAD +1.39%+1.35%-15.25%-.--%
22.39 CAD +0.04%+2.00%-5.05%-.--%
494 CHF +0.04%-2.18%-2.37%-.--%
16.86 USD +2.00%-1.81%-0.71%-.--%
887.9 USD +3.46%+1.20%+79.29%-.--%
21.66 EUR -0.32%-0.87%-0.41%-.--%
31.44 EUR +0.32%-4.83%-16.84%-.--%
4.261 EUR +0.73%+0.92%+20.57%-.--%
10.45 EUR +0.43%+0.53%+1.42%-.--%
38.89 USD -0.10%-1.99%+3.16%-.--%
105.1 GBX +1.50%+0.10%-14.97%-.--%
327.5 TWD +5.82%+3.97%+4.47%-.--%
9.17 HKD +0.88%+1.55%-16.03%-.--%
1,278 USD +3.19%-4.91%+14.50%-.--%
148 TWD +2.42%+3.86%+9.63%-.--%
3,843 INR -0.52%+0.58%+1.32%-.--%
68.51 USD +2.76%-1.59%+13.60%1.42%
114.7 USD +2.11%-0.12%+34.40%1.40%
56.78 SEK +1.50%-1.08%-10.03%1.36%
77,600 KRW -0.51%+1.17%-1.15%1.34%
1,348 INR -0.93%-8.54%-8.05%1.34%
149.2 USD +1.49%+0.42%-6.23%1.30%
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Description

US33737K2050
Total Expense Ratio 0.70%
Asset Class
Sector
Size
Currency
Provider
Underlying Indxx 5G & NextG Thematic Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
17/02/2011
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 363 M€
AuM 1M 365 M€
AuM 3 months 365 M€
AuM 6 months 362 M€
AuM 12 months 412 M€
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