Components Global X Video Games & Esports ETF - USD

ETF

HERO

US37954Y3927

Market Closed - Nasdaq 01:45:00 03/05/2024 am IST 5-day change 1st Jan Change
20.09 USD +2.24% Intraday chart for Global X Video Games & Esports ETF - USD +2.40% -0.40%

Composition of Global X Video Games & Esports ETF - USD

Weight
22.21 EUR +0.18%+1.88%-3.89%-.--%
143.1 USD +0.23%+0.17%-11.11%-.--%
98.95 USD +5.24%+5.24%+6.22%6.85%
37.34 USD +2.08%+6.78%-18.33%5.97%
7,575 JPY -0.81%+1.03%+2.94%5.83%
72.47 USD +3.91%+3.97%+81.86%5.82%
128.5 USD +0.25%+0.28%-6.07%5.81%
24.16 USD -1.59%+2.50%-40.91%5.28%
2,39,500 KRW -0.21%-7.53%+23.71%5.10%
6,153 JPY +2.35%+8.35%+21.53%4.84%
9,345 JPY -1.07%+0.62%+26.57%4.77%
2,594 JPY -0.42%+4.41%+13.87%4.61%
2,470 JPY -1.83%-1.59%-3.87%4.22%
1,000 TWD -2.44%+2.04%+38.12%4.18%
14.72 USD +15.63%+15.45%+20.95%3.47%
1,76,100 KRW -1.07%+3.35%-26.78%3.41%
119.6 PLN +0.89%+3.28%+3.96%2.63%
1,166 GBX +0.60%-0.51%-29.84%2.22%
1,317 JPY -2.88%-9.79%-18.12%1.99%
27.33 SEK -2.74%-4.64%-0.09%1.76%
55,900 KRW +0.72%-4.61%-3.79%1.44%
32,050 KRW +1.26%+9.39%-17.29%0.99%
21,800 KRW -.--%+4.31%-15.67%0.94%
47,300 KRW -1.46%+2.83%-22.33%0.94%
94 SEK -1.00%+6.52%+9.11%0.91%
2,305 JPY -0.82%+1.86%-1.98%0.91%
1,578 JPY -1.47%+2.14%+14.63%0.85%
11.58 USD +2.84%+5.85%-17.87%0.78%
146 TWD -0.34%+6.96%-2.99%0.77%
15.86 HKD +7.02%+4.07%+55.49%0.68%
7.66 USD +1.86%+7.58%-12.16%0.67%
11.03 SEK +4.06%-3.08%-9.37%0.58%
4.75 USD +3.49%+3.04%+29.78%0.42%
40,000 KRW +0.38%+2.96%-18.78%0.35%
76.8 TWD +1.32%+8.47%+3.78%0.35%
48,000 KRW -3.32%-2.64%-1.03%0.33%
2.95 HKD +0.68%+19.43%+27.71%0.32%
13,480 KRW -0.37%+0.67%-10.01%0.30%
30,000 KRW -0.33%-1.80%-18.92%0.29%
21,800 KRW -.--%+5.83%-18.20%0.29%
52a8bba85d864b7089bf6951d03fed.HcEp3C0GJcQLdGhFeyR6gpkBlxu7v4vj7V1xt6z1oCA.TohB8RtXF7BsGAQAH34s2_52oVKD0c-WmRQAj-6bl39ooHmWSzNw_HgGDw

ETF Ratings

Description

US37954Y3927
Total Expense Ratio 0.50%
Asset Class
Sector
Size
Currency
Provider
Underlying Solactive Video Games & Esports NTR Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
25/10/2019
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 122 M€
AuM 1M 120 M€
AuM 3 months 118 M€
AuM 6 months 123 M€
AuM 12 months 153 M€
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