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
121.6 GBX -2.09%+1.04%+22.51%0.41%
1,353 GBX +0.22%+3.82%-10.78%0.41%
1,111 GBX +0.09%-3.63%+14.96%0.40%
2,284 GBX +0.44%+3.25%+37.46%0.40%
6,160 GBX -2.07%-0.58%+34.89%0.39%
113.8 GBX -0.87%-1.69%+11.17%0.39%
545.2 GBX +0.69%+5.21%-10.95%0.38%
1,066 GBX -0.14%+4.54%-2.51%0.38%
86.3 GBX -0.92%+0.17%+11.56%0.38%
2,405 GBX -3.02%+2.77%+5.23%0.38%
4,022 GBX -1.53%+0.25%+12.63%0.38%
106.6 GBX -0.74%-0.56%+0.38%0.38%
356.5 GBX -1.79%-0.06%+17.40%0.37%
920 GBX -0.11%-0.86%+12.94%0.37%
489 GBX -3.36%+0.49%-38.49%0.37%
1,517 GBX -0.33%+2.79%+10.10%0.36%
172.5 GBX -0.06%-0.98%-1.37%0.36%
396.2 GBX -1.43%-1.55%-0.69%0.35%
184.1 GBX -1.97%-7.86%+7.40%0.35%
127.1 GBX -0.78%+2.26%+27.18%0.35%
3,508 GBX +0.51%+1.38%-1.33%0.35%
630 GBX -0.16%+2.89%+7.27%0.34%
765 GBX +0.26%+3.38%+28.68%0.34%
1,781 GBX -1.17%-1.44%+10.55%0.34%
28.68 GBX -1.71%+2.06%+0.99%0.34%
328 GBX -1.50%+0.30%-3.65%0.33%
732.5 GBX -0.20%-0.68%+6.86%0.33%
2,190 GBX +0.23%+1.16%+13.68%0.33%
97.75 GBX -0.81%+0.46%+3.66%0.33%
75.05 GBX -0.20%+0.45%-13.77%0.33%
398.5 GBX +0.38%+2.06%+9.67%0.33%
274.4 GBX -0.05%+0.31%-0.24%0.32%
1,249 GBX +0.24%+19.45%+11.44%0.32%
1,763 GBX -1.07%-0.90%+0.80%0.32%
894.5 GBX -0.28%+0.68%+11.11%0.32%
496.5 GBX -1.49%+0.10%+3.39%0.31%
4,764 GBX -0.22%-0.12%+1.80%0.31%
243.5 GBX -0.41%-1.51%+10.58%0.31%
198.8 GBX -0.62%-0.15%-10.73%0.31%
132.9 GBX -1.56%-2.85%-6.15%0.31%
608 GBX -0.33%+1.16%+9.52%0.31%
394.8 GBX +0.19%+1.81%+12.27%0.30%
879 GBX -0.68%-1.79%+1.50%0.29%
2,438 GBX -0.10%+0.41%+10.16%0.29%
520 GBX -0.76%+0.39%-2.80%0.29%
456.8 GBX -0.60%+0.88%+13.13%0.29%
999.5 GBX -2.68%+18.61%+26.21%0.29%
357.8 GBX -1.17%-0.42%+13.90%0.28%
423.5 GBX -0.94%+1.56%+1.07%0.28%
9658532c3a34f2477f99.08Vg2hQfhevOZ1yG7kW2GN8FdoTiqq3UMieEp_GyDTI.mYca6mxuqNudLR7vhjXCdes3H7Wkh8CZZECw8aLHSnWJpietd0z9p_kpLw

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
06/04/2010
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 58 M€
AuM 1M 57 M€
AuM 3 months 56 M€
AuM 6 months 49 M€
AuM 12 months 54 M€
  1. Stock Market
  2. ETF
  3. HMCX ETF
  4. Components HSBC FTSE 250 ETF
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