Components iShares MSCI Taiwan UCITS ETF - USD

ETF

ITWN

IE00B0M63623

Market Closed - Swiss Exchange 09:25:02 30/05/2024 am IST 5-day change 1st Jan Change
67.77 GBX -2.46% Intraday chart for iShares MSCI Taiwan UCITS ETF - USD +3.51% +18.22%

Composition of iShares MSCI Taiwan UCITS ETF - USD

Weight
838 TWD -2.22%-3.01%+41.32%30.80%
1,290 TWD 0.00%+8.86%+27.09%5.33%
176.5 TWD -2.22%+4.44%+68.90%4.44%
330 TWD -3.37%+0.76%+5.26%2.09%
55.8 TWD -0.18%+1.45%+6.08%2.03%
281.5 TWD -1.92%-1.40%+25.39%2.01%
71.9 TWD -0.69%-2.18%+10.96%1.74%
35.3 TWD -2.08%-6.86%+24.51%1.71%
126 TWD +0.80%-0.79%+5.00%1.56%
38.9 TWD -0.26%-4.07%-0.77%1.51%
55.6 TWD 0.00%-0.71%+21.53%1.50%
158.5 TWD -2.76%+1.93%+17.41%1.42%
27.7 TWD -0.72%-2.81%+7.36%1.24%
77 TWD +0.26%-4.11%+3.36%1.23%
515 TWD -1.72%-1.34%+5.21%1.19%
53.2 TWD +0.19%-2.39%-20.00%1.09%
23.85 TWD -0.42%-3.05%-11.67%1.09%
65.6 TWD -0.76%-2.81%-17.17%1.05%
27.3 TWD -1.09%-4.21%-0.36%1.02%
605 TWD -0.98%-1.47%+17.02%1.01%
153 TWD -1.29%-0.97%-20.73%0.99%
2,250 TWD -1.32%+0.90%-21.60%0.95%
31.45 TWD -1.26%-5.70%+13.95%0.95%
25.7 TWD -0.96%-3.38%-3.75%0.95%
525 TWD -0.38%+3.75%+0.38%0.91%
114 TWD -1.72%-0.87%+15.62%0.86%
2,915 TWD +1.22%+6.00%-10.99%0.84%
187.5 TWD -1.83%+2.74%+6.53%0.83%
108 TWD -4.85%+4.35%-7.69%0.82%
32.85 TWD -1.05%-4.37%-5.74%0.81%
570 TWD +1.60%+6.15%+20.89%0.78%
53.3 TWD -1.11%-5.16%-14.45%0.75%
600 TWD -0.83%-2.28%-15.37%0.74%
22.75 TWD 0.00%+0.22%+15.48%0.71%
18.25 TWD -0.27%-3.44%+0.83%0.69%
657 TWD -1.65%+3.30%+10.05%0.69%
13.85 TWD -0.36%-2.46%+10.36%0.69%
24.75 TWD -1.20%-3.32%+10.74%0.68%
45.6 TWD +0.11%-4.60%-2.56%0.62%
2,645 TWD +0.19%+1.93%+44.93%0.61%
103.5 TWD -0.96%-3.27%+18.56%0.60%
351.5 TWD -2.09%-1.82%-5.51%0.60%
220 TWD -3.08%+1.62%+11.68%0.59%
104.5 TWD +1.46%-2.34%+5.98%0.59%
37.15 TWD -2.49%-7.82%-6.78%0.56%
468 TWD -0.43%+6.61%-6.40%0.55%
2,265 TWD -1.31%-2.79%-7.55%0.53%
52.5 TWD -2.23%-0.94%-2.42%0.53%
267 TWD -0.37%-2.73%-0.93%0.53%
1,510 TWD -1.31%+4.50%-13.22%0.51%
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ETF Ratings

Description

IE00B0M63623
Total Expense Ratio 0.74%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Taiwan 20/35 NTR Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
27/10/2005
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 355 M€
AuM 1M 363 M€
AuM 3 months 300 M€
AuM 6 months 272 M€
AuM 12 months 307 M€
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