Components iShares Russell Mid-Cap ETF - USD

ETF

IWR

US4642874998

Delayed Nyse 11:09:52 02/05/2024 pm IST 5-day change 1st Jan Change
80.04 USD +0.71% Intraday chart for iShares Russell Mid-Cap ETF - USD -0.45% +2.98%

Composition of iShares Russell Mid-Cap ETF - USD

Weight
144 USD +2.70%-8.33%+8.26%0.56%
527.7 USD -2.82%-3.26%+15.37%0.55%
120.1 USD +0.73%+0.98%+21.23%0.54%
313.8 USD -0.36%+5.07%+28.96%0.52%
96.58 USD +1.53%+1.96%+16.75%0.52%
302.7 USD +2.46%+2.05%+19.11%0.51%
1,272 USD +1.79%+0.91%+25.35%0.50%
662.1 USD -0.22%-0.48%+9.86%0.49%
65.97 USD +3.37%-2.25%+9.37%0.48%
106 USD -0.35%-5.63%+8.84%0.47%
83.59 USD -1.16%-0.29%+1.20%0.46%
111.9 USD +3.26%-3.85%+16.30%0.46%
89 USD +0.23%-3.62%-1.45%0.46%
95.42 USD +1.12%+1.23%+5.53%0.45%
125.7 USD -0.18%-9.11%+1.09%0.45%
60.8 USD -0.21%+1.49%+5.66%0.45%
238.9 USD +0.06%+0.93%+6.35%0.45%
144.9 USD +1.71%+0.42%-4.72%0.44%
128.2 USD +0.27%-3.05%-7.42%0.44%
140.4 USD +0.16%-1.63%-1.56%0.43%
474.1 USD +1.30%-3.21%-14.69%0.43%
197.9 USD +0.08%-2.90%+8.74%0.43%
467.6 USD -0.53%+0.95%-17.10%0.41%
170.1 USD +0.87%-3.42%-2.40%0.41%
38.72 USD +2.20%-1.91%+11.10%0.40%
224 USD -3.83%-4.07%-3.00%0.39%
54.3 USD -0.25%-1.57%+10.93%0.39%
68.65 USD +2.71%-5.59%-11.16%0.39%
54.5 USD +1.08%+1.13%-5.24%0.39%
160.4 USD +2.16%+0.58%-6.10%0.38%
77.56 USD +0.83%-4.77%+10.37%0.38%
140.2 USD +1.61%-1.12%+3.96%0.38%
137.6 USD -0.77%+1.16%-0.78%0.38%
56.54 USD +0.15%-1.09%+8.66%0.38%
159.5 USD +1.77%-1.18%+10.68%0.38%
183.4 USD +0.48%-6.94%-9.70%0.38%
213.1 USD +0.79%+0.15%+10.40%0.37%
415.1 USD +0.40%+1.02%+9.29%0.37%
660.4 USD +1.02%-4.06%+15.60%0.36%
118.3 USD -0.90%-3.18%-0.85%0.36%
65.92 USD +0.84%-1.15%-12.63%0.36%
162.7 USD -6.47%-8.15%-0.89%0.36%
111 USD -1.12%-0.19%+7.00%0.35%
186.6 USD +1.09%-0.89%+59.41%0.35%
214.6 USD -0.73%+5.87%-17.17%0.35%
127.9 USD -0.19%+0.34%-6.63%0.35%
91.7 USD +0.29%-1.41%+2.50%0.35%
67.76 USD -0.62%-0.60%+4.57%0.35%
17.56 USD +0.83%+2.78%-2.69%0.34%
169.7 USD -1.11%-1.61%+21.13%0.34%
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ETF Ratings

Description

US4642874998
Total Expense Ratio 0.19%
Asset Class
Sector
Size
Currency
Provider
Underlying Russell Midcap Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
17/07/2001
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 31,059 M€
AuM 1M 29,620 M€
AuM 3 months 28,164 M€
AuM 6 months 25,807 M€
AuM 12 months 24,985 M€
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