Components iShares MSCI World Consumer Discretionary Sector ESG UCITS ETF - USD

ETF

WCDS

IE00BJ5JP212

Market Closed - Swiss Exchange 09:10:52 23/05/2024 pm IST 5-day change 1st Jan Change
7.451 USD -1.11% Intraday chart for iShares MSCI World Consumer Discretionary Sector ESG UCITS ETF - USD -0.74% +0.74%

Composition of iShares MSCI World Consumer Discretionary Sector ESG UCITS ETF - USD

Weight
180.3 USD -1.54%-1.67%+18.84%14.89%
173.6 USD -3.64%-0.65%-30.09%9.95%
326.4 USD -1.26%-4.81%-5.86%7.39%
752.8 EUR +0.12%-4.22%+2.62%5.22%
217.6 USD -1.60%-6.35%-2.27%3.99%
12,885 JPY +0.59%-0.50%-3.91%3.87%
1,732 JPY +0.20%-1.09%+18.11%2.55%
64.98 EUR -0.64%-1.04%+0.15%2.44%
4,587 JPY -0.52%+0.84%-12.65%2.43%
222.9 EUR -1.11%-3.21%+21.04%2.42%
332.6 EUR +0.76%-2.52%-16.63%2.37%
296.3 USD -1.10%-12.62%-42.19%2.14%
80.28 USD -1.75%-2.45%-10.53%1.95%
36.46 EUR +0.58%-1.11%+12.32%1.86%
378.1 USD -0.05%-5.78%-22.88%1.83%
283.7 USD +0.33%+2.99%+32.29%1.79%
899.3 USD +0.72%+1.51%+34.49%1.35%
360 USD -2.08%-2.67%-9.87%1.20%
45.31 AUD -2.43%+11.22%+11.00%1.20%
69.63 USD -1.23%-5.47%-11.08%1.17%
44.33 EUR +1.60%+2.38%+12.43%1.09%
9.97 USD -6.82%-1.48%-57.46%1.05%
3,560 JPY -0.45%0.00%+13.67%1.01%
42.44 USD -3.37%-3.87%-11.19%0.98%
186.3 USD +0.62%-4.60%-4.07%0.98%
1,356 JPY +1.27%+0.78%-2.90%0.96%
34.92 EUR -0.39%-4.67%+29.39%0.95%
68.7 USD -1.51%-5.97%-10.58%0.94%
258.6 USD -2.70%-5.39%-12.73%0.82%
3,403 JPY +0.44%-0.15%+31.36%0.74%
189.7 USD -2.98%-6.88%-11.01%0.64%
1,498 JPY -1.67%-0.10%+18.94%0.62%
185.9 SEK -1.14%+6.02%+5.25%0.60%
506.8 GBX +1.44%-2.43%-9.92%0.53%
1,140 DKK +2.38%-2.06%+22.16%0.53%
59.93 USD -0.66%+0.77%+17.39%0.52%
91.32 USD -1.28%-0.54%-15.93%0.51%
1,051 GBX +0.19%-7.81%-25.78%0.50%
147.8 GBX +1.90%-0.74%+0.51%0.50%
5,235 GBX 0.00%-1.60%+11.67%0.49%
11.9 USD -3.53%-8.70%-36.68%0.48%
3,746 USD -2.06%+0.40%+5.72%0.47%
258.7 GBX -0.61%-1.11%+6.33%0.45%
48.25 EUR -3.02%-6.75%-4.49%0.45%
78.18 USD -3.15%+3.95%-18.50%0.45%
2,218 JPY -1.07%-1.07%+9.15%0.42%
100.6 USD -0.46%+1.79%+7.33%0.41%
23.25 EUR -1.82%-7.92%+8.39%0.40%
41,120 JPY +1.08%+0.91%+17.52%0.34%
716.2 GBX -1.97%-6.28%-27.96%0.32%
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Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
15/10/2019
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 10 M€
AuM 1M 11 M€
AuM 3 months 20 M€
AuM 6 months 18 M€
AuM 12 months 18 M€
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