Components SoFi Select 500 ETF - USD

ETF

SFY

US8863642075

Market Closed - Nyse 01:30:00 03/05/2024 am IST 5-day change 1st Jan Change
18.05 USD +1.35% Intraday chart for SoFi Select 500 ETF - USD +0.17% +6.55%

Composition of SoFi Select 500 ETF - USD

Weight
184.7 USD +3.20%+6.36%+21.57%6.91%
173.2 USD +2.29%+1.94%-10.05%4.89%
397.8 USD +0.73%-0.30%+5.80%4.79%
180.1 USD +0.06%+5.83%-27.52%3.66%
858.1 USD +3.34%+3.85%+73.28%2.00%
116.2 USD +0.18%-4.20%+16.26%1.63%
272.1 USD +1.28%-0.37%+3.42%1.52%
166.6 USD +1.68%+6.81%+19.28%1.42%
1,238 USD -0.37%-4.34%+10.93%1.28%
160.7 USD +0.69%-2.75%+7.76%1.24%
191.7 USD -0.10%-0.88%+12.67%1.14%
441.8 USD +0.60%+0.10%+24.83%1.07%
146.2 USD +1.31%-4.94%-0.85%1.04%
267.6 USD +0.11%-2.74%+2.79%0.96%
493 USD +1.83%-0.18%-6.36%0.96%
441.1 USD -0.22%-4.55%+3.42%0.86%
755.9 USD -2.68%+4.28%+29.68%0.80%
59.71 USD +1.46%-0.83%+13.63%0.75%
122.2 USD -1.68%-6.04%+5.32%0.74%
695.7 USD +1.47%-2.87%-1.52%0.72%
149.9 USD -0.83%+2.11%-4.35%0.69%
295.3 USD +2.78%+2.26%+0.15%0.69%
3,473 USD +1.68%-0.84%-2.09%0.62%
128.3 USD -0.42%-1.88%+17.65%0.61%
335.5 USD +1.07%+1.07%-3.18%0.60%
36.88 USD -0.19%-2.72%+9.53%0.60%
732.6 USD +1.44%+1.49%+10.99%0.59%
476.6 USD +1.53%+0.66%-20.12%0.58%
115 USD +0.29%+0.06%+9.04%0.58%
163.8 USD +0.27%+0.79%+11.81%0.54%
160.8 USD -0.56%-3.87%+3.77%0.54%
183 USD +2.22%-8.30%+23.31%0.51%
61.99 USD +0.10%+0.40%+5.19%0.48%
300.3 USD +0.56%-2.80%-14.41%0.48%
143.9 USD +2.61%-8.50%+8.06%0.47%
164.9 USD -0.34%+0.52%+2.86%0.47%
196.5 USD +1.34%-0.73%-1.04%0.46%
614 USD -0.19%-1.97%-1.76%0.46%
164.7 USD +0.16%-2.50%+0.70%0.44%
571.2 USD -0.65%-0.08%+7.62%0.42%
175.4 USD +0.17%-0.70%+3.30%0.42%
162.6 USD +1.84%+0.86%+27.43%0.41%
157.3 USD +1.08%-5.86%+21.03%0.41%
112.6 USD +1.94%-0.13%+24.73%0.40%
417 USD +0.18%+0.35%-5.35%0.40%
27.7 USD +1.91%+9.66%-3.79%0.39%
66.67 USD +4.47%-1.20%+10.55%0.38%
59.83 USD +0.52%-0.17%+21.56%0.38%
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ETF Ratings

Description

US8863642075
Total Expense Ratio 0.19%
Asset Class
Sector
Size
Currency
Provider
Underlying Solactive SoFi US 500 Growth Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
11/04/2019
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 656 M€
AuM 1M 623 M€
AuM 3 months 540 M€
AuM 6 months 485 M€
AuM 12 months 403 M€
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