Components iShares Russell 2000 ETF - USD

ETF

IWM

US4642876555

Delayed Nyse 10:38:41 17/05/2024 pm IST 5-day change 1st Jan Change
208 USD +0.05% Intraday chart for iShares Russell 2000 ETF - USD +1.07% +3.63%

Composition of iShares Russell 2000 ETF - USD

Weight
18.38 USD -0.19%+2.86%-13.63%0.15%
128.5 USD +0.69%+4.12%-6.72%0.15%
38.31 USD +0.26%-0.90%+6.02%0.14%
102.8 USD +0.32%+4.69%-7.73%0.14%
14.66 USD -0.44%-1.18%-11.71%0.14%
72.81 USD +0.55%+4.98%-9.62%0.14%
310 USD +0.36%+0.41%+5.33%0.14%
23.22 USD -0.39%-5.03%-29.67%0.14%
26.7 USD -1.77%+1.75%+4.61%0.14%
62.82 USD -0.26%-0.66%+2.65%0.14%
37.3 USD -0.55%-1.27%-5.98%0.14%
8.085 USD +1.32%+5.48%-5.16%0.14%
58.6 USD -0.80%+0.92%-5.90%0.14%
111.2 USD +0.44%-0.29%+39.01%0.14%
63.65 USD -0.87%-0.70%-0.03%0.14%
38.45 USD -0.08%+1.37%-7.57%0.14%
69.88 USD +1.28%+2.34%+11.80%0.14%
92.84 USD +0.67%-0.13%+9.23%0.14%
17.1 USD -0.18%+1.54%+11.83%0.14%
46.2 USD -0.23%+5.61%-28.83%0.14%
109.4 USD -0.55%+4.59%+54.63%0.14%
38.36 USD -1.96%+0.82%-33.17%0.14%
31.62 USD -0.33%-0.13%+10.68%0.14%
114.8 USD -0.88%+0.47%-7.94%0.14%
108.6 USD -0.02%+1.29%+43.95%0.14%
15.74 USD -0.97%+3.11%+2.11%0.14%
29.28 USD -1.20%+1.35%-19.42%0.14%
219 USD +0.86%+6.19%-5.80%0.13%
65.88 USD +0.99%+1.81%-1.04%0.13%
93.07 USD -0.24%-1.31%+12.93%0.13%
45.14 USD +0.89%+2.88%-5.81%0.13%
22.24 USD +0.25%-0.43%+3.95%0.13%
75.27 USD -0.30%+5.61%-31.38%0.13%
77.4 USD +2.25%+1.92%+50.53%0.13%
5.635 USD -0.27%+2.45%-19.13%0.13%
39.86 USD -0.10%+0.33%+12.71%0.13%
104.7 USD -1.86%-0.19%+45.00%0.13%
37.32 USD +1.04%+3.95%+22.06%0.13%
240 USD -2.77%-2.39%+39.35%0.13%
14.22 USD +0.32%-2.03%-0.25%0.13%
59.28 USD +2.43%-0.51%-22.05%0.13%
148.9 USD +0.95%-1.20%+29.26%0.13%
149.8 USD +0.22%-1.72%-4.66%0.13%
42.44 USD -0.60%+0.69%+5.55%0.13%
92.66 USD -6.11%-6.36%-13.39%0.13%
120.3 USD +1.11%+5.66%+21.54%0.13%
15.66 USD +0.10%+2.76%-9.06%0.13%
92.9 USD -0.52%+0.74%+20.62%0.13%
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ETF Ratings

Description

US4642876555
Total Expense Ratio 0.19%
Asset Class
Sector
Size
Currency
Provider
Underlying Russell 2000 Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
21/05/2000
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 54,547 M€
AuM 1M 60,342 M€
AuM 3 months 56,770 M€
AuM 6 months 45,162 M€
AuM 12 months 44,357 M€
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