Components iShares Edge MSCI Wld Min Vol ETF $ Acc

ETF

MVOL

IE00B8FHGS14

End-of-day quote London S.E. 04:30:00 11/12/2023 am IST 5-day change 1st Jan Change
58.86 USD +0.77% Intraday chart for iShares Edge MSCI Wld Min Vol ETF $ Acc +1.19% +5.43%

Composition of iShares Edge MSCI Wld Min Vol ETF $ Acc

Weight
128.8 USD -1.08%-1.24%+18.24%1.67%
199.2 USD -0.83%-1.77%+11.06%1.66%
373.6 USD -1.51%+0.95%+19.45%1.46%
185.8 USD -0.77%-0.94%+12.38%1.43%
45.2 USD -0.91%-2.22%-10.52%1.41%
549.4 USD -1.58%-0.06%+0.89%1.40%
162 USD -1.09%-6.41%-4.56%1.37%
94.15 CHF -0.54%-0.82%+11.01%1.27%
66.2 USD -0.17%-1.44%+25.95%1.26%
168.7 USD -0.20%+0.24%+3.09%1.25%
1,959 JPY -1.78%+0.72%+11.34%1.18%
22.54 EUR +0.02%-0.18%+3.86%1.17%
144.8 USD -0.39%-1.29%-7.79%1.15%
39.7 USD -0.16%-4.00%+5.24%1.15%
78.12 USD -0.40%-0.84%+11.22%1.11%
251.9 USD -1.03%-3.50%-15.15%1.11%
90.54 USD -0.65%-1.58%-0.58%1.11%
174.1 USD +0.16%-3.15%+8.59%1.07%
229.1 USD -0.45%-3.25%+11.49%1.03%
165.2 USD +0.00%-1.85%+12.84%1.01%
585.1 USD +0.05%-0.15%+26.41%1.00%
208.9 USD -0.77%+0.33%+10.28%0.95%
487.6 USD -1.11%-2.71%-7.25%0.93%
65.37 USD +0.12%-3.26%+0.08%0.93%
147.8 JPY -0.14%-2.31%-14.22%0.92%
245.8 CHF +0.92%+3.15%+0.45%0.90%
187 USD -0.12%-5.21%+0.32%0.89%
63.99 USD -0.54%+0.05%-21.15%0.85%
2,811 USD -0.26%+1.30%+8.32%0.85%
100.8 USD -0.54%-2.10%+3.77%0.84%
68.22 USD -0.69%+4.24%+37.61%0.82%
166.3 USD +0.13%-1.36%+7.30%0.81%
232.8 CAD -0.42%-1.11%+20.19%0.80%
94.93 CHF -0.01%-3.58%-2.76%0.78%
203.4 USD +0.46%-4.51%+27.81%0.78%
49.99 USD -0.36%-3.58%+9.58%0.76%
442.3 USD +0.27%+4.26%+17.70%0.75%
165.6 USD -0.76%-1.99%+10.95%0.74%
4.126 EUR -2.67%-6.27%+17.12%0.72%
137.6 CAD -0.66%-1.08%-3.09%0.71%
179 EUR -1.30%+1.15%+28.88%0.70%
9.398 EUR -1.49%-10.37%-8.75%0.69%
1,026 USD -0.11%+2.21%+16.47%0.68%
4,291 JPY +0.30%+0.12%-4.35%0.67%
32.44 USD -1.44%-6.32%-12.43%0.67%
480.1 USD +0.90%-1.01%+18.12%0.67%
269.6 USD -0.26%-2.58%+3.67%0.66%
4,423 JPY -1.67%-2.75%+22.18%0.66%
205.9 USD -0.66%-1.76%+8.15%0.66%
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ETF Ratings

Description

IE00B8FHGS14
Total Expense Ratio 0.30%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI World Minimum Volatility Net Total Return Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
30/11/2012
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 2,194 M€
AuM 1M 2,194 M€
AuM 3 months 2,377 M€
AuM 6 months 2,372 M€
AuM 12 months 3,058 M€
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