Components iShares Dow Jones Global Sustainability Screened UCITS ETF - USD

ETF

IGSG

IE00B57X3V84

Delayed Berne S.E. 5-day change 1st Jan Change
- USD -.--% Intraday chart for iShares Dow Jones Global Sustainability Screened UCITS ETF - USD -.--% -.--%

Composition of iShares Dow Jones Global Sustainability Screened UCITS ETF - USD

Weight
413.7 USD -0.25%+0.04%+10.02%10.71%
169.1 USD +0.29%+0.62%+21.08%4.36%
511.7 USD -0.21%+3.51%-2.80%2.55%
819 TWD +2.12%+5.00%+38.11%2.48%
279.4 USD -0.48%+2.46%+7.31%2.18%
457.8 USD +0.17%+1.87%+7.33%1.86%
853 EUR -1.33%+0.76%+25.13%1.62%
161.3 USD +0.33%-0.89%+4.07%1.44%
483.1 USD +0.17%-2.12%-19.02%1.43%
277.5 USD +0.31%+0.69%+5.46%1.36%
378.2 HKD +1.94%+3.79%+28.81%1.22%
93.07 CHF +0.81%+5.64%+9.66%1.10%
12,318 GBX -0.42%+1.65%+16.21%1.10%
48.68 USD +1.29%+3.33%-3.64%1.07%
227.8 CHF +1.20%+4.26%-6.83%1.07%
434.8 USD +0.09%+1.91%+5.86%1.04%
104.8 USD +0.03%-0.82%-4.82%1.01%
627.2 USD -0.81%-1.17%+0.35%0.92%
176.7 EUR +0.35%+3.03%+26.67%0.84%
68.75 EUR +0.10%+2.22%+11.61%0.80%
356.7 USD +0.53%+4.26%+20.63%0.80%
245.7 USD -0.70%+2.70%+0.02%0.79%
730.1 USD +0.05%+0.49%+3.34%0.76%
428 USD -0.82%+0.53%-2.84%0.76%
188 EUR -0.22%+4.81%+10.63%0.74%
121.6 USD -0.26%-1.59%+4.76%0.73%
119.1 AUD +1.34%+3.38%+6.55%0.68%
107.7 USD +0.18%+2.88%-19.22%0.66%
77.6 CAD +0.28%+3.29%-9.37%0.62%
92.71 EUR +2.36%+1.86%+3.29%0.58%
538.8 USD -0.08%+1.67%+14.25%0.58%
83.52 USD +0.82%+2.15%+1.38%0.58%
233.8 EUR -0.11%+6.44%+28.59%0.57%
56.47 USD +1.16%+0.89%-28.48%0.53%
67.54 USD +2.40%+3.05%-16.63%0.53%
71.76 USD +0.79%+2.62%-0.93%0.52%
27.12 CHF +0.63%+8.92%+3.91%0.50%
977 USD +0.32%+1.91%+11.23%0.50%
302.2 USD +1.61%+0.56%+2.50%0.48%
349.1 USD +0.22%+1.97%+16.59%0.46%
34,640 JPY -1.03%-1.06%+37.16%0.45%
72.81 USD -1.19%+0.36%+25.95%0.43%
1,810 GBX +0.58%+2.78%+24.81%0.41%
51.68 CAD +0.02%+3.07%+8.34%0.40%
12.16 EUR -0.45%+4.33%+2.40%0.40%
3,411 GBX -1.39%0.00%+9.68%0.40%
112.2 CAD -1.03%+0.66%+6.99%0.39%
172.9 CAD -0.73%+0.27%+3.84%0.38%
6,871 JPY -0.94%+0.54%+15.23%0.38%
47.81 CHF +1.38%+5.15%+28.18%0.38%
cf4a37f5c2773eac4e808cec8a597.3Gojm-IT0Kga_M1ZAPgo7yBmpobNPkIU8KLwL22zHz0.uh9O74Zxpssspv4LUapmo2QPl7CkCnAgr5C-bBrwbkzkHUTxu32q2E2a9Q

ETF Ratings

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
24/02/2011
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 1,149 M€
AuM 1M 1,213 M€
AuM 3 months 1,154 M€
AuM 6 months 977 M€
AuM 12 months 790 M€
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