Components iShares Core FTSE 100 UCITS ETF - GBP

ETF

BCYIF

IE0005042456

Delayed OTC Markets 07:00:02 12/06/2024 pm IST 5-day change 1st Jan Change
10.43 USD -0.58% Intraday chart for iShares Core FTSE 100 UCITS ETF - GBP 0.00% 0.00%

Composition of iShares Core FTSE 100 UCITS ETF - GBP

Weight
2,691 GBX +0.11%-0.52%+16.88%-.--%
4,387 GBX -0.45%+0.07%-18.99%-.--%
1,790 GBX +2.96%+1.19%-3.50%-.--%
206.3 GBX +0.67%-1.15%+34.38%-.--%
665.3 GBX -0.58%-3.37%-32.99%-.--%
3,073 GBX +0.72%+3.33%+26.76%-.--%
80.89 GBX -12.59%-0.14%-0.14%-.--%
9,449 GBX +0.16%+1.07%+1.81%-.--%
2,731 GBX +0.17%-0.51%+6.42%9.01%
12,379 GBX -0.39%+0.27%+17.07%8.63%
687.5 GBX +0.66%+1.59%+8.32%6.44%
4,433 GBX -0.02%+1.79%+16.71%4.98%
466.5 GBX +1.28%-0.22%+0.25%4.21%
1,607 GBX +0.45%-0.25%+11.09%3.26%
3,578 GBX +0.29%+2.58%+15.14%3.03%
2,568 GBX -0.31%-0.69%-9.79%2.97%
5,189 GBX +0.15%-0.86%-10.89%2.89%
452.8 GBX +0.99%-2.41%-3.76%2.75%
2,414 GBX +0.23%+1.38%+5.47%2.29%
1,350 GBX +0.95%-2.49%+21.52%1.97%
885.5 GBX +1.11%+2.94%-16.05%1.89%
2,214 GBX +0.82%+1.09%+3.40%1.85%
466.5 GBX +1.06%+0.26%+55.56%1.68%
54.88 GBX +0.62%+2.96%+15.20%1.59%
2,391 GBX +0.83%+1.78%+21.84%1.54%
3,720 GBX +0.77%+0.92%+15.96%1.44%
14,440 GBX -0.31%-0.35%+3.48%1.27%
5,309 GBX -3.65%-4.93%-2.60%1.24%
323.7 GBX +0.25%+0.97%+0.79%1.08%
309.4 GBX +0.78%+2.55%+6.71%1.00%
701.8 GBX +0.66%-0.73%-20.63%0.94%
311 GBX +0.97%+2.47%+41.89%0.79%
2,009 GBX +0.78%+1.87%+11.54%0.78%
725.3 GBX +0.74%+0.72%+8.97%0.74%
70.5 GBX +1.03%+1.03%+3.30%0.71%
226.6 GBX -0.42%-6.87%-9.84%0.68%
8,219 GBX +1.02%+3.05%+16.28%0.63%
474.6 GBX +0.87%+1.32%+9.20%0.62%
1,067 GBX +0.78%+2.85%-9.08%0.58%
895 GBX +0.56%+0.18%+10.62%0.58%
917.4 GBX +1.37%+2.66%+3.75%0.55%
9,053 GBX +0.17%+0.31%+11.63%0.53%
858.6 GBX +1.85%+3.99%+10.04%0.53%
2,963 GBX +2.24%+0.14%-7.15%0.50%
454 GBX +1.23%+9.47%+3.11%0.50%
42.59 EUR +0.85%-0.16%+18.67%0.44%
2,492 GBX +0.02%-0.91%+5.37%0.43%
987.3 GBX +0.01%-1.87%-8.24%0.41%
740.6 GBX +0.35%-1.57%-1.57%0.41%
d9ac1de620.6UaTTjNHMRIdtofMDHicch9lkEJzfykmCghcCiC3_z0.2XPSGV4ueSte5e-JQQytGS8w3xE0K3oWUGwoRVr8h2eNEqIReTMBIG3jvw

ETF Ratings

Description

IE0005042456
Total Expense Ratio 0.07%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE 100 Net of Tax Index - GBP

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
27/04/2000
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 14,234 M€
AuM 1M 13,903 M€
AuM 3 months 13,126 M€
AuM 6 months 12,846 M€
AuM 12 months 12,656 M€
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