Components iShares MSCI ACWI ex U.S. ETF - USD

ETF

ACWX

US4642882405

Market Closed - Nasdaq 01:30:00 14/05/2024 am IST 5-day change 1st Jan Change
54.17 USD +0.26% Intraday chart for iShares MSCI ACWI ex U.S. ETF - USD +1.44% +6.13%

Composition of iShares MSCI ACWI ex U.S. ETF - USD

Weight
4,627 JPY +0.17%-1.62%+11.57%0.11%
223 HKD +0.18%-1.93%+4.01%0.11%
3,379 INR +2.54%-1.57%-4.20%0.11%
309.2 NOK +0.21%+1.16%-4.02%0.11%
1,266 EUR +0.60%+4.71%+9.05%0.11%
2,558 JPY +0.18%-4.14%+20.29%0.11%
227.5 CAD -0.53%-1.95%+11.59%0.11%
1,285 INR -0.09%+0.04%+24.45%0.11%
103.1 EUR -0.29%+5.70%+9.14%0.11%
77.88 CAD -2.00%+5.53%+4.33%0.11%
3,99,000 KRW -0.50%-1.12%-20.12%0.11%
29.71 EUR -0.50%+4.92%+13.97%0.11%
2,782 JPY +1.16%-2.57%+39.19%0.11%
29.89 SGD -1.06%-2.16%+5.06%0.11%
2,619 JPY +1.65%+0.92%+2.75%0.11%
67.75 USD -0.95%+2.45%+23.52%0.11%
314 GBX +0.45%+2.99%+7.88%0.11%
2,340 JPY -0.74%-4.70%+9.96%0.10%
2,349 INR -0.46%-1.27%-11.79%0.10%
5,260 JPY +2.59%+0.73%+9.65%0.10%
1,824 GBX +1.31%+1.83%-2.31%0.10%
178.2 MXN +1.42%+2.98%+4.37%0.10%
15.91 EUR +0.66%-0.92%+28.57%0.10%
115.4 CAD -0.54%+1.10%+14.25%0.10%
4,392 JPY +0.71%+1.48%+21.33%0.10%
4,798 JPY -3.38%-3.75%-10.18%0.10%
123 SEK +0.86%+0.62%+0.33%0.10%
206 MXN +1.45%+2.26%-6.78%0.10%
4,680 IDR 0.00%-2.30%-18.25%0.10%
1,646 INR +0.30%+0.11%-13.73%0.10%
37.26 EUR -0.48%+0.38%+14.82%0.10%
122.2 EUR +2.88%+2.96%+8.72%0.10%
6,676 INR -0.64%-2.86%-8.90%0.09%
27.93 CAD -0.50%-1.24%+26.49%0.09%
229 CAD -0.19%+0.28%+18.23%0.09%
6,808 JPY -2.13%-0.89%+16.58%0.09%
51,970 JPY -1.40%+2.69%+48.57%0.09%
4,628 JPY +0.59%-0.09%+25.49%0.09%
618.4 EUR -0.39%-0.45%+31.42%0.09%
29.85 SAR -0.33%0.00%-9.24%0.09%
28.21 EUR +0.14%-3.73%+9.03%0.09%
139 CAD -0.66%-1.98%-2.10%0.09%
72.11 USD -1.54%-4.30%-7.71%0.09%
4,144 JPY -1.15%-3.06%+34.72%0.09%
27.94 EUR +0.13%-2.51%-2.07%0.09%
1,84,300 KRW -2.28%-5.29%-17.72%0.09%
2,996 JPY -0.81%+2.83%+34.46%0.09%
232.6 SEK +0.02%+1.13%+6.42%0.09%
3,458 JPY +1.89%-0.86%+22.44%0.09%
213130.pYYc2q-NshM7l32uHpTwXA-ZhS5xo0IyxQ4pJzXiomo.69Nwmcnl5XVZ5k2DVuenOUfVxFgSkhd1jE9nRmeG41jky3Sfy8aGZxbfFg

Description

US4642882405
Total Expense Ratio 0.34%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI ACWI ex USA Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
25/03/2008
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 4,240 M€
AuM 1M 4,298 M€
AuM 3 months 4,154 M€
AuM 6 months 3,845 M€
AuM 12 months 4,074 M€
  1. Stock Market
  2. ETF
  3. ACWX ETF
  4. Components iShares MSCI ACWI ex U.S. ETF - USD
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