Components Simplify High Yield PLUS Credit Hedge ETF - USD

ETF

US82889N8305

Market Closed - Nyse 01:40:00 08/06/2024 am IST 5-day change 1st Jan Change
22.8 USD -0.18% Intraday chart for Simplify High Yield PLUS Credit Hedge ETF - USD +0.22% -0.07%

Composition of Simplify High Yield PLUS Credit Hedge ETF - USD

Weight
198 USD +0.17%-1.36%-3.75%-.--%
11.21 USD -1.06%-2.44%-21.39%-.--%
65.07 USD -0.31%+0.06%+6.39%-.--%
538.9 USD -0.39%+0.09%+14.29%-.--%
14.48 USD -0.14%-1.16%+15.56%-.--%
28.85 USD -1.30%-5.50%-19.59%-.--%
2,801 USD +1.30%+1.11%+8.32%-.--%
24.01 USD -0.25% - - -.--%
226.3 USD -0.28%-0.57%+11.94%-.--%
45.84 USD -0.84%-1.42%-9.26%-.--%
53.43 USD -0.52%-2.14%+6.01%-.--%
65.94 USD -0.56%-0.32%-12.70%-.--%
682.2 USD +0.00%+0.62%+13.19%-.--%
11.5 USD +0.61%0.00%-16.30%-.--%
1,407 USD +0.38%+5.88%+26.01%-.--%
90.28 USD +0.84%+0.86%+26.96%-.--%
338.1 USD +0.06%-1.89%+12.91%-.--%
126.6 USD -2.25%-7.52%-6.87%-.--%
107.4 USD -0.49%+0.35%+13.56%-.--%
73.98 USD -0.70%-3.73%+3.48%-.--%
36.06 USD -1.66%+1.41%-23.08%-.--%
146.5 USD -0.50%-3.66%-5.73%-.--%
276.8 USD -0.91%-3.58%-28.78%-.--%
543.7 USD -0.09%-1.93%-7.03%-.--%
24.17 USD +1.13%-2.62%-23.37%-.--%
16.7 USD +0.48%+10.74%-9.92%-.--%
65.88 USD -0.23%+15.46%+51.34%-.--%
1,044 USD -1.98%-4.54%+56.23%-.--%
112 USD +5.39%+6.46%-8.90%-.--%
12.25 USD -1.45%-0.57%-42.05%-.--%
116.9 USD -0.50%-4.01%-7.70%-.--%
26.94 USD -0.22%-2.14%-16.28%-.--%
283.1 USD -0.91%+0.53%-2.71%-.--%
77.55 USD -1.02%-4.71%+6.66%-.--%
10.01 USD -1.48%-1.57%+3.84%-.--%
57.88 USD -1.21%+1.54%+18.78%-.--%
12.34 USD -0.24%+0.49%-33.26%-.--%
41.67 USD -2.14%-5.70%-43.46%-.--%
17.79 USD -2.09%+7.17%-11.23%-.--%
47.51 USD +0.32%-17.46%+17.57%-.--%
18.1 USD -0.98%-0.66%+7.87%-.--%
169.4 USD +0.50%+5.07%+9.32%-.--%
465.4 USD +1.59%+4.65%-21.99%-.--%
259 USD -0.95%-3.24%-8.35%-.--%
61.15 USD -1.29%+0.64%-2.86%-.--%
61.05 USD -1.61%-2.62%+7.35%-.--%
40.74 USD -0.59%-3.05%+4.27%-.--%
114.9 USD -2.74%-6.24%-20.45%-.--%
239.2 USD -0.55%+3.01%+20.59%-.--%
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Description

US82889N8305
Total Expense Ratio 0.75%
Asset Class
Currency
Provider

Features and characteristics

Jurisdiction
Date of creation
14/02/2022
Dividend Policy
Credit Rating

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 142 M€
AuM 1M 99 M€
AuM 3 months 60 M€
AuM 6 months 52 M€
AuM 12 months 41 M€
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