Components FlexShares Developed Markets ex-US Quality Low Volatility Index Fund ETF - USD

ETF

QLVD

US33939L6478

Delayed Nyse 01:40:00 27/04/2024 am IST 5-day change 1st Jan Change
26.19 USD +0.24% Intraday chart for FlexShares Developed Markets ex-US Quality Low Volatility Index Fund ETF - USD +2.03% +0.88%

Composition of FlexShares Developed Markets ex-US Quality Low Volatility Index Fund ETF - USD

Weight
92.33 CHF -0.40%-1.49%-5.20%4.06%
221.8 CHF +0.38%-1.55%-9.08%3.76%
92.18 EUR +1.04%+4.58%+2.73%2.51%
4,114 GBX -0.45%+6.02%+8.39%2.36%
184.9 EUR -0.16%-1.59%+4.99%1.76%
89.04 CHF -0.52%+2.17%+5.17%1.65%
170.9 CAD -0.23%-3.64%+2.52%1.57%
8,787 JPY -0.10%+2.94%+27.72%1.39%
2,890 GBX -0.46%-0.33%+12.68%1.36%
885.4 DKK -0.14%+1.69%+27.50%1.32%
1,672 GBX +1.15%+2.20%+15.54%1.14%
11.69 EUR +0.67%+2.05%-1.56%1.09%
4,380 JPY +0.76%+3.01%-2.36%1.09%
43.92 EUR -1.79%-1.79%+11.21%1.07%
213.2 USD -0.05%+2.71%+10.76%1.02%
182.4 EUR -0.15%-2.79%-2.09%1.01%
1,358 GBX +1.31%+2.96%+22.02%0.97%
34.78 SGD +1.05%+2.08%+14.51%0.97%
141.6 EUR -0.87%+0.25%+10.10%0.96%
420.8 USD -0.39%+2.40%+24.14%0.95%
413.8 EUR +0.06%-1.19%+10.24%0.93%
849.3 EUR -1.11%+4.55%+24.72%0.92%
2,998 JPY 0.00%+1.90%+24.27%0.91%
28.21 EUR +0.75%+2.14%+8.40%0.85%
1,486 CAD -0.04%+0.34%+21.63%0.85%
3,320 ILa -1.54%-2.01%+0.91%0.83%
508.8 CHF +0.74%-2.21%+0.49%0.83%
10,940 JPY -0.86%+2.24%+7.73%0.82%
3,731 JPY 0.00%-0.69%+10.91%0.82%
1,593 JPY +0.50%+4.25%+10.93%0.82%
168.2 JPY 0.00%+0.18%-2.38%0.82%
1,878 JPY +1.57%+3.33%+6.76%0.81%
4,350 JPY +1.56%+3.08%+1.83%0.81%
38.48 CAD +0.71%+1.18%-3.07%0.81%
2,869 ILa -1.38%-1.91%-2.75%0.80%
444.8 CHF +1.13%-1.55%+1.09%0.80%
20,155 JPY -1.08%-4.00%-17.04%0.79%
13,340 ILa -0.97%-1.98%-6.45%0.79%
158.9 EUR +0.13%+0.82%+18.63%0.78%
2,068 JPY 0.00%+3.53%-20.63%0.78%
33.8 HKD -0.29%+6.79%-22.92%0.77%
46.5 EUR +2.73%+7.39%+2.92%0.77%
9.37 SGD +0.64%+2.85%-4.68%0.77%
33.5 HKD +0.30%+6.52%-14.54%0.77%
70.74 CAD -0.25%+1.65%+3.11%0.77%
3.446 EUR +0.58%+2.93%+10.52%0.76%
3.6 AUD +1.12%-1.10%+1.12%0.76%
2,712 JPY +0.99%+0.57%-3.02%0.76%
14.21 SGD -0.42%+2.75%+9.31%0.75%
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ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
16/07/2019
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 44 M€
AuM 1M 58 M€
AuM 3 months 57 M€
AuM 6 months 65 M€
AuM 12 months 72 M€
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  4. Components FlexShares Developed Markets ex-US Quality Low Volatility Index Fund ETF - USD