Components First Trust NASDAQ-100 Equal Weighted Index Fund ETF - USD

ETF

QQEW

US3373441050

Market Closed - Nasdaq 01:45:00 27/04/2024 am IST 5-day change 1st Jan Change
118.8 USD +0.51% Intraday chart for First Trust NASDAQ-100 Equal Weighted Index Fund ETF - USD +3.24% +1.13%

Composition of First Trust NASDAQ-100 Equal Weighted Index Fund ETF - USD

Weight
108 USD +1.69%+6.47%+8.57%1.31%
334 USD +2.13%+3.70%-7.95%1.18%
883.2 USD -0.84%-1.52%+0.56%1.08%
53.37 USD +0.41%+0.43%-7.36%1.06%
443.3 USD +0.43%-7.85%+25.24%1.06%
164 USD -0.05%+1.00%+2.26%1.06%
121.7 USD +0.04%-0.24%-14.30%1.05%
65.42 USD +0.23%-2.01%-19.24%1.05%
666.2 USD +0.15%+0.75%+10.55%1.05%
38.16 USD -0.55%+1.01%+3.19%1.05%
70.61 USD -0.27%+3.67%-2.51%1.05%
208.9 USD +3.18%+7.47%-19.27%1.05%
53.96 USD -1.91%-1.39%-12.84%1.05%
37.32 USD -0.90%-0.61%+3.96%1.04%
122.3 USD +1.02%+4.13%-12.18%1.04%
114.8 USD +2.92%+7.56%+34.57%1.04%
33.99 USD -0.12%-1.02%-1.96%1.03%
207.8 USD +0.32%+3.50%+33.97%1.03%
31.88 USD -9.20%-6.78%-36.56%1.03%
86.24 USD +0.34%+2.07%+11.54%1.03%
729.2 USD +1.01%+2.77%+10.47%1.03%
397.5 USD -0.06%+0.81%-2.31%1.03%
133.6 USD +1.10%+0.20%-3.45%1.02%
124.3 USD -9.91%-4.87%+0.20%1.02%
561.2 USD -0.63%+1.12%+15.27%1.02%
69.62 USD +3.17%+12.06%+15.44%1.02%
175.6 USD -0.62%+0.83%+3.38%1.02%
240.8 USD -0.45%+2.05%+6.80%1.02%
3.02 USD 0.00%-2.27%-44.79%1.02%
877.4 USD +6.18%+15.14%+77.16%1.02%
47.86 USD -0.50%-0.95%-5.27%1.02%
221.1 USD -0.74%-0.62%-7.42%1.01%
32.84 USD -1.38%+0.74%-3.92%1.01%
364.7 USD +1.31%+3.47%-28.67%1.01%
33.72 USD -0.35%+7.05%+1.20%1.01%
375.3 USD +0.59%+2.45%+11.26%1.01%
499.3 USD +2.06%+4.82%-10.04%1.01%
193.4 USD +0.22%-0.42%-7.75%1.01%
67.3 EUR +1.82%+7.00%+11.79%1.01%
144.5 USD +0.73%+2.75%-10.24%1.00%
17.7 USD +0.57%-2.96%-32.21%1.00%
129.3 USD +2.80%+13.94%-11.62%1.00%
406.3 USD +1.82%+1.80%+8.05%1.00%
177.5 USD +1.27%+11.15%+4.12%0.99%
188.4 USD +0.19%+4.13%+61.15%0.99%
254.6 USD -1.73%-4.00%-34.49%0.99%
182.4 USD -7.24%-13.88%-9.99%0.99%
3,521 USD +0.53%+3.11%-0.74%0.99%
127.9 USD +0.46%+0.50%-6.51%0.99%
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Description

US3373441050
Total Expense Ratio 0.58%
Asset Class
Sector
Size
Currency
Provider
Underlying NASDAQ-100 Equal Weighted Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
19/04/2006
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 2,033 M€
AuM 1M 2,033 M€
AuM 3 months 2,043 M€
AuM 6 months 1,812 M€
AuM 12 months 1,300 M€
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