Components SPDR Global Dow ETF - USD

ETF

DGT

US78464A7063

Delayed Nyse 12:13:53 16/05/2024 am IST 5-day change 1st Jan Change
131 USD +0.64% Intraday chart for SPDR Global Dow ETF - USD +2.34% +10.05%

Composition of SPDR Global Dow ETF - USD

Weight
40.09 EUR +1.85%+3.99%+1.21%0.68%
102.9 USD -2.35%-2.36%+14.02%0.68%
944.7 USD +3.40%+4.65%+91.07%0.68%
176.1 EUR +0.81%-0.20%+26.25%0.68%
1,136 GBX +1.52%+3.18%+7.42%0.68%
320.3 USD +2.85%+4.10%+11.08%0.68%
13.24 EUR +1.53%+2.08%+8.97%0.68%
104.5 USD +0.46%-0.36%-5.01%0.67%
94.52 USD -0.06%+1.12%+18.58%0.67%
190.1 USD +1.44%+3.96%-1.33%0.67%
516.3 USD +0.47%+2.57%-1.96%0.67%
5.56 HKD -1.24%+6.11%+19.57%0.67%
185.7 USD -0.73%-1.73%+21.59%0.67%
93.3 CHF -0.20%+3.05%+9.93%0.67%
6,904 JPY +1.41%+0.51%+18.22%0.66%
23.88 EUR -1.00%+1.14%-6.99%0.66%
488 USD +2.54%-0.02%-18.20%0.66%
307 USD +0.01%-1.70%-12.60%0.66%
103.2 USD +0.86%+0.84%+6.39%0.66%
3,880 INR -0.53%-2.48%+2.29%0.66%
273.6 USD +1.10%+2.07%-7.58%0.66%
1,590 JPY -0.93%+2.02%+31.28%0.65%
67.47 EUR -1.24%+0.36%+9.53%0.65%
71.68 USD -0.34%+1.77%-1.04%0.65%
163.5 USD +1.17%+1.86%+5.46%0.65%
348.8 USD +2.43%+2.91%+0.61%0.65%
67.4 USD -0.36%+3.73%-16.87%0.65%
24.6 EUR -0.32%+2.93%+28.76%0.65%
8,359 JPY +0.14%+3.48%+32.83%0.64%
3,408 JPY +0.56%-5.31%+31.56%0.64%
4,396 JPY +0.09%+1.57%+21.44%0.64%
40.42 USD +0.16%+2.91%+16.18%0.64%
84.44 USD +0.17%+3.63%+2.59%0.64%
281.2 USD +1.25%+1.38%+7.94%0.64%
101.2 USD +1.13%+5.10%-7.37%0.64%
1,812 GBX +0.14%+2.20%+24.98%0.64%
3,099 JPY +0.55%+3.09%+28.46%0.64%
78.18 USD -0.22%-0.09%+1.56%0.64%
358.9 USD +0.20%+4.14%+21.33%0.64%
789 EUR -0.37%+0.14%+7.55%0.63%
227.5 CHF +1.29%+2.34%-6.95%0.63%
105.2 USD -0.44%+1.21%+25.02%0.63%
75.68 USD +0.07%+3.12%-21.06%0.63%
4.47 HKD -1.54%+3.71%+17.02%0.63%
35.4 USD +0.47%-1.02%-8.47%0.63%
7,818 JPY +0.46%+0.94%+47.57%0.62%
63.2 USD +0.17%+0.62%+7.31%0.62%
2,625 GBX +0.21%-1.09%+33.21%0.62%
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ETF Ratings

Description

US78464A7063
Total Expense Ratio 0.50%
Asset Class
Sector
Size
Currency
Provider
Underlying The Global Dow Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
24/09/2000
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 185 M€
AuM 1M 184 M€
AuM 3 months 169 M€
AuM 6 months 150 M€
AuM 12 months 120 M€
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