Components FundX Aggressive ETF - USD

ETF

XNAV

US3608768822

Market Closed - Nyse 01:40:00 27/06/2024 am IST 5-day change 1st Jan Change
68.67 USD +0.33% Intraday chart for FundX Aggressive ETF - USD -0.92% +20.23%

Composition of FundX Aggressive ETF - USD

Weight
213.2 USD +2.00%-0.49%+10.76%8.89%
452.2 USD +0.27%+1.30%+20.24%8.83%
193.6 USD +3.90%+5.91%+27.43%3.66%
126.4 USD +0.25%-6.77%+155.24%3.35%
513.1 USD +0.49%+2.73%+44.97%2.73%
183.9 USD -0.06%+5.02%+31.63%2.57%
196.4 USD +4.81%+6.23%-20.97%2.15%
1,592 USD +0.71%-11.68%+42.62%1.79%
528.7 USD +0.34%+1.23%-11.39%1.47%
856.8 USD +0.16%-1.60%+29.81%1.11%
157.5 USD -1.69%+1.88%+6.87%1.08%
637.5 USD +1.11%+4.56%+1.99%1.01%
243.2 USD +0.57%+4.89%-7.60%0.87%
901.3 USD -0.37%+1.10%+54.61%0.86%
677.7 USD +0.79%-1.16%+39.19%0.80%
273.6 USD +0.03%-0.01%+5.09%0.73%
193.1 USD -0.70%-1.61%+13.28%0.63%
452.4 USD -0.72%+0.50%+6.07%0.63%
30.54 USD -0.65%-0.29%-39.22%0.63%
232.2 USD -0.90%-6.32%+43.25%0.58%
197.3 USD -2.39%-13.10%+36.44%0.54%
325.3 USD +0.80%+2.60%+10.30%0.54%
166.7 USD -0.36%+0.16%-1.83%0.54%
753.9 USD -0.12%+3.25%+6.71%0.51%
1,056 USD +0.27%-3.10%+34.79%0.49%
176.3 USD -0.74%-0.73%+9.97%0.48%
3,982 USD -0.80%+0.23%+12.27%0.47%
598.5 USD -0.27%-3.51%+16.24%0.46%
442.6 USD +0.06%+1.74%+31.18%0.45%
309.3 USD -0.71%-5.26%+13.57%0.44%
46.86 USD -1.10%+1.94%-7.24%0.41%
474 USD +0.04%+1.44%+16.49%0.39%
304.6 USD -0.83%+6.75%-13.19%0.39%
484 USD -0.09%+0.62%-8.06%0.38%
813.3 USD -0.58%-5.79%+39.91%0.38%
138.2 USD -0.68%-4.43%+31.11%0.37%
79.15 USD -0.16%-1.31%-17.56%0.37%
312.8 USD -2.03%+2.23%+8.61%0.36%
38.22 USD -0.47%+3.58%-12.84%0.35%
216.8 USD -0.28%+4.38%-21.47%0.34%
3,263 JPY -0.40%+5.80%+25.96%0.33%
1,664 JPY +0.76%+7.60%+37.39%0.33%
380.4 USD -1.65%-2.35%+48.98%0.31%
243.3 USD +0.31%-0.34%-0.08%0.31%
238 USD -4.18%-2.61%+2.17%0.29%
227.8 USD -1.09%-3.20%+14.75%0.29%
4,370 JPY -0.79%-0.43%+19.89%0.29%
ed1bd4041c95.a2f2-lLUhNKxqVykZUTKGO2QWjVpLDo2TO8BZqhvqt4.NAi_rGGNsbjSxjSJCjX5b9n9Y2xbYENQKY1MIMwH2asJCJu5B6LIi-vfHQ

Description

US3608768822
Total Expense Ratio 1.52%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Date of creation
17/10/2022
Dividend Policy
Commodity
Geographical Focus

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 24 M€
AuM 1M 23 M€
AuM 3 months 24 M€
AuM 6 months 22 M€
AuM 12 months 22 M€
  1. Stock Market
  2. ETF
  3. XNAV ETF
  4. Components FundX Aggressive ETF - USD