Components First Trust Nasdaq Oil & Gas ETF - USD

ETF

FTXN

US33738R8455

Delayed Nasdaq 08:51:56 03/05/2024 pm IST 5-day change 1st Jan Change
30.95 USD -0.75% Intraday chart for First Trust Nasdaq Oil & Gas ETF - USD -5.36% +9.36%

Composition of First Trust Nasdaq Oil & Gas ETF - USD

Weight
269.6 USD +0.73%-2.01%+19.90%-.--%
47.38 USD -0.41%-3.71%-8.96%-.--%
16.92 USD +1.17%-3.08%+23.86%-.--%
121.5 USD -0.58%-7.06%+4.28%8.04%
158.2 USD -1.59%-5.04%+5.61%7.67%
115.2 USD -0.90%-2.83%+14.64%7.58%
181.6 USD -0.77%-8.90%+21.82%7.20%
64.14 USD -0.80%-5.72%+7.02%6.01%
143 USD -0.64%-5.75%+7.18%4.87%
157.3 USD -2.06%-1.98%-8.62%4.22%
156.2 USD -0.70%-6.11%+19.75%4.08%
129.6 USD -1.70%-4.94%+6.65%3.85%
199.8 USD +1.09%-4.21%+28.33%3.21%
50.49 USD +0.30%-4.63%+10.97%3.15%
38.66 USD +0.31%-1.87%+10.61%2.85%
28.17 USD +3.72%-1.06%+9.68%2.42%
26.26 USD +0.67%-5.69%+8.40%2.10%
156.2 USD -1.50%-4.29%+7.91%1.93%
40.27 USD +2.00%-1.47%+3.50%1.90%
86.2 USD -0.67%-6.64%+11.71%1.67%
7.145 USD -1.04%-7.52%+8.85%1.65%
51.39 USD +0.63%-3.92%+16.51%1.62%
29.22 USD +0.12%-10.46%-18.92%1.50%
36.64 USD -0.18%-5.37%+0.89%1.43%
111.3 USD -1.51%-5.29%+27.41%1.39%
52.1 USD -0.96%-10.28%+17.92%1.36%
31.86 USD +0.46%-3.18%-6.98%1.22%
54.31 USD +0.11%-5.91%-2.38%1.18%
175.9 USD +0.33%-5.91%+5.04%1.04%
44.18 USD -0.09%-5.12%+3.28%0.86%
74.18 USD +5.15%-0.50%+7.69%0.84%
35.78 USD +2.27%-4.61%+16.92%0.81%
62.46 USD +0.56%-5.08%+9.53%0.78%
49.68 USD +4.06%-3.08%+27.26%0.68%
122.9 USD +0.52%-4.20%+25.32%0.56%
23.31 USD +0.47%-3.12%+16.25%0.53%
25.1 USD +0.78%-5.13%+17.38%0.50%
40.06 USD +0.21%-7.70%+7.74%0.49%
51.58 USD +0.16%-6.52%-6.14%0.48%
562.3 USD +0.66%-5.90%+6.94%0.43%
51.06 USD -0.48%-1.60%+12.27%0.42%
33.48 USD -0.22%-3.99%+14.58%0.40%
029186d27cba4395139.kmuXD2pAokAc7agw18lpbwpADwWphG_63KKGx4Y5Ltc._jH9VQwMzHR7r_5Vu50sG10IdUDb5l-0rsb8gcF_HITfLvVbDjSXDEue6Q

Description

US33738R8455
Total Expense Ratio 0.60%
Asset Class
Sector
Size
Currency
Provider
Underlying NASDAQ US Smart Oil & Gas Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
20/09/2016
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 206 M€
AuM 1M 191 M€
AuM 3 months 213 M€
AuM 6 months 242 M€
AuM 12 months 285 M€
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