Components iShares MSCI Taiwan UCITS ETF - USD

ETF

IQQT

IE00B0M63623

Delayed Börse Stuttgart 01:26:40 29/05/2024 am IST 5-day change 1st Jan Change
81.3 EUR -0.15% Intraday chart for iShares MSCI Taiwan UCITS ETF - USD +3.65% +19.42%

Composition of iShares MSCI Taiwan UCITS ETF - USD

Weight
865 TWD -0.46%+3.59%+45.87%30.80%
1,310 TWD +1.95%+10.08%+29.06%5.33%
185.5 TWD +0.27%+10.75%+77.51%4.44%
346.5 TWD +0.14%+8.96%+10.53%2.09%
56.4 TWD -0.35%+6.21%+7.22%2.03%
289.5 TWD -1.36%+2.66%+28.95%2.01%
73.8 TWD +0.41%0.00%+13.89%1.74%
36.75 TWD -2.13%-4.67%+29.63%1.71%
126 TWD +0.80%-0.40%+5.00%1.56%
39.8 TWD 0.00%-2.45%+1.53%1.51%
56.8 TWD +2.16%+1.43%+24.15%1.50%
164 TWD -0.91%+7.89%+21.48%1.42%
28.4 TWD -0.87%-3.40%+10.08%1.24%
78.5 TWD -1.38%+0.77%+5.37%1.23%
527 TWD -2.41%+4.15%+7.66%1.19%
54.3 TWD -1.27%-5.07%-18.35%1.09%
24.2 TWD +1.26%-4.16%-10.37%1.09%
67.1 TWD +0.90%-1.47%-15.28%1.05%
28.05 TWD -0.88%-2.94%+2.37%1.02%
623 TWD +2.64%+1.80%+20.50%1.01%
155 TWD +0.65%-0.64%-19.69%0.99%
2,200 TWD +0.23%-4.97%-23.34%0.95%
32.85 TWD +0.46%+1.55%+19.02%0.95%
26.2 TWD +0.19%-2.60%-1.87%0.95%
502 TWD -2.33%-0.40%-4.02%0.91%
119 TWD +2.15%+7.21%+20.69%0.86%
2,935 TWD +1.03%+3.16%-10.38%0.84%
192 TWD 0.00%+6.37%+9.09%0.83%
116.5 TWD -3.72%+15.92%-0.43%0.82%
33.95 TWD +0.44%+0.30%-2.58%0.81%
541 TWD +1.69%+1.88%+14.74%0.78%
55 TWD +2.04%-3.85%-11.72%0.75%
608 TWD -0.49%-3.03%-14.25%0.74%
23.35 TWD -0.64%-2.10%+18.53%0.71%
18.6 TWD +0.54%-2.11%+2.76%0.69%
669 TWD +0.30%+5.52%+12.06%0.69%
14.2 TWD +1.07%-1.39%+13.15%0.69%
25.5 TWD -0.20%-1.54%+14.09%0.68%
46.5 TWD +1.09%-2.11%-0.64%0.62%
2,685 TWD -0.92%+3.47%+47.12%0.61%
105 TWD -1.41%+0.48%+20.27%0.60%
364 TWD +1.39%+3.26%-2.15%0.60%
229.5 TWD +1.55%+8.00%+16.50%0.59%
105 TWD -0.47%-0.94%+6.49%0.59%
38.6 TWD -1.78%+5.03%-3.14%0.56%
505 TWD +5.65%+20.24%+1.00%0.55%
2,330 TWD +1.75%-2.31%-4.90%0.53%
56.4 TWD -3.59%+16.89%+4.83%0.53%
270 TWD -0.18%-2.53%+0.19%0.53%
1,530 TWD +2.34%+4.79%-12.07%0.51%
9310861.ZrtxiE8ZXWYyIqmge6K-thaJQfwXQwfR8igSgaoj6TY.E9crzTtPNgRWZOTnTtCI_mHNdI5FKli-pUlex-gVpgcp9UTvOFQLH3124A

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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