Components HSBC FTSE 250 ETF

ETF

HMCX

IE00B64PTF05

End-of-day quote London S.E. 04:30:00 11/12/2023 am IST 5-day change 1st Jan Change
17.62 GBP +0.53% Intraday chart for HSBC FTSE 250 ETF +2.40% +6.15%

Composition of HSBC FTSE 250 ETF

Weight
1,304 GBX -1.66%-1.02%-6.12%1.36%
3,330 GBX +0.18%+3.61%-11.88%1.19%
388 GBX -0.82%+0.31%-2.90%1.14%
1,230 GBX +0.33%+3.71%+16.70%1.09%
139.9 GBX -1.62%+0.50%-7.66%1.08%
146.5 GBX -0.34%+7.17%-18.00%1.03%
538.6 GBX -0.07%-1.57%+5.61%1.00%
9,910 GBX +1.23%+2.85%+0.41%1.00%
151.6 GBX +0.07%+1.68%-10.24%0.99%
2,920 GBX -0.51%+3.91%+12.52%0.98%
1,228 GBX -0.65%+1.49%+10.43%0.98%
1,198 GBX +0.42%+7.06%+30.57%0.97%
2,530 GBX -1.09%+2.02%-1.48%0.95%
1,756 GBX -1.24%-1.24%+3.45%0.94%
100 GBX -1.38%-.--%-12.13%0.87%
122.2 GBX -1.45%-1.45%-11.83%0.87%
323.4 GBX +2.34%+2.21%-0.06%0.85%
813.8 GBX +3.59%+9.71%+10.87%0.85%
748 GBX +0.13%+2.96%-2.29%0.85%
6.636 EUR -2.67%-2.81%-6.06%0.84%
257.6 GBX +1.02%+4.63%+10.75%0.84%
800 GBX -0.44%+10.57%+11.81%0.82%
659 GBX +2.57%+1.93%-.--%0.81%
2,056 GBX -0.96%-0.58%-12.88%0.81%
126.6 GBX -0.16%+2.76%-7.86%0.81%
2,724 GBX -1.38%-2.23%+4.69%0.80%
185.8 GBX -0.91%-4.18%+2.12%0.74%
70.3 GBX -2.50%-1.19%+11.09%0.73%
1,158 GBX +0.35%+3.58%+9.04%0.71%
1,080 GBX -2.17%+0.37%-11.62%0.71%
1,966 GBX -0.30%+6.62%+4.46%0.70%
1,380 GBX +0.44%-0.29%-2.47%0.68%
884.5 GBX +1.14%+2.79%+5.23%0.66%
412.5 GBX -0.12%+0.49%+0.73%0.63%
546 GBX -.--%+0.18%+8.55%0.63%
4,310 GBX +1.29%+2.99%+13.18%0.62%
196.6 GBX -0.25%-0.10%+2.66%0.62%
507.5 GBX -1.26%-0.68%+28.48%0.61%
333 GBX -0.15%+2.30%+3.58%0.61%
288.9 GBX -2.76%+0.24%-6.38%0.61%
665.5 GBX -1.63%+0.15%-11.44%0.60%
2,582 GBX -0.23%+0.94%-7.52%0.60%
256.5 GBX -1.72%+0.59%-2.99%0.59%
213.8 GBX -0.28%-0.37%+30.01%0.59%
518 GBX -1.52%+4.73%+5.78%0.58%
773.5 GBX -1.28%+1.11%-12.50%0.58%
134.7 GBX -1.97%+0.67%-2.46%0.58%
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Description

IE00B64PTF05
Total Expense Ratio 0.35%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE UK Series FTSE 250 Total Return Index - GBP

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
07/04/2010
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 57 M€
AuM 1M 56 M€
AuM 3 months 56 M€
AuM 6 months 52 M€
AuM 12 months 53 M€
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