Components iShares Edge MSCI Intl Quality Factor ETF - USD

ETF

IQLT

US46434V4564

Market Closed - Nyse 01:30:00 30/04/2024 am IST 5-day change 1st Jan Change
38.49 USD +0.26% Intraday chart for iShares Edge MSCI Intl Quality Factor ETF - USD +2.31% +2.48%

Composition of iShares Edge MSCI Intl Quality Factor ETF - USD

Weight
1,693 JPY -9.83%-10.14%-27.43%-.--%
8,790 GBX -1.61%-3.41%-5.22%-.--%
17.14 EUR +0.47%-0.06%-7.18%-.--%
43.58 EUR +0.74%-0.09%+9.58%-.--%
53.72 AUD -1.20%-2.13%-4.87%-.--%
2,822 JPY +1.69%+1.97%+52.65%-.--%
847.7 EUR -1.29%+4.24%+24.35%4.79%
92.08 CHF -0.67%-1.88%-5.57%3.31%
884.8 DKK -0.20%+1.09%+26.74%3.29%
779.2 EUR -1.64%-2.21%+6.22%3.04%
221.2 CHF +0.09%-2.04%-9.53%2.19%
43.21 AUD +0.56%-5.04%-14.29%2.04%
12,024 GBX +0.30%+6.88%+13.43%2.02%
266.3 EUR +0.30%-0.15%+10.06%2.01%
444.3 CHF +1.00%-1.57%+1.07%1.54%
88.87 CHF -0.70%+1.73%+4.71%1.52%
4,105 GBX -0.68%+5.66%+8.03%1.37%
28.34 AUD +0.53%-0.32%-8.76%1.31%
436.5 EUR +0.20%-1.02%-3.14%1.30%
35,150 JPY +2.69%+8.15%+39.18%1.27%
11.66 EUR +0.39%+1.79%-1.81%1.26%
216 EUR -0.60%+5.60%+18.85%1.18%
2,298 EUR -2.21%-0.52%+19.76%1.13%
45.31 CHF +0.82%+2.79%+21.47%1.09%
414.3 EUR +0.19%-1.00%+10.45%1.01%
110.5 CAD -1.01%-6.68%+5.40%1.00%
3,293 GBX -1.08%-1.64%+5.88%1.00%
169.6 CAD -0.98%-4.29%+1.82%0.94%
7,702 JPY +0.69%+2.72%+4.66%0.92%
255 HKD 0.00%+10.49%-4.85%0.90%
1,200 CHF +0.38%+1.57%-1.11%0.88%
300.2 NOK -1.15%+1.13%-6.83%0.85%
5,457 GBX +0.07%+1.32%-6.59%0.84%
182.2 EUR -0.27%-3.03%-2.33%0.79%
43.87 EUR -3.24%-1.75%+11.26%0.78%
195.3 SEK +0.72%+10.93%+12.53%0.78%
129.7 CHF -0.12%+1.97%+12.05%0.75%
4,957 JPY +1.12%+3.08%+40.46%0.74%
184.4 EUR -0.42%-1.85%+4.70%0.73%
6,166 JPY +4.40%-0.68%+4.21%0.71%
2,770 GBX -0.23%-3.06%-3.03%0.70%
422.4 USD -0.00%+2.97%+24.82%0.68%
128.2 SEK +0.23%-0.31%+2.79%0.68%
32.27 CAD +0.62%+0.40%+10.21%0.68%
34.81 SGD +0.09%+0.58%+14.64%0.65%
1,151 EUR -2.42%-16.68%-1.34%0.63%
4,383 JPY +0.07%-0.05%-2.30%0.62%
29.43 CAD +0.38%+1.69%+33.29%0.61%
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ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
13/01/2015
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 7,513 M€
AuM 1M 7,267 M€
AuM 3 months 6,778 M€
AuM 6 months 6,092 M€
AuM 12 months 4,576 M€
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