Components VanEck Indonesia Index ETF - USD

ETF

IDX

US92189F8335

Market Closed - Nyse 01:30:00 27/04/2024 am IST 5-day change 1st Jan Change
15.63 USD -1.64% Intraday chart for VanEck Indonesia Index ETF - USD -0.64% -8.44%

Composition of VanEck Indonesia Index ETF - USD

Weight
9,625 IDR -1.53%+1.58%+2.39%8.87%
4,830 IDR -6.21%-8.44%-15.63%8.51%
6,750 IDR -2.88%+0.37%+11.57%7.97%
4,880 IDR -1.41%-0.41%-13.63%5.40%
5,150 IDR -2.83%-1.44%-4.19%4.96%
61 IDR -1.61%+3.39%-29.07%4.69%
8,625 IDR +4.23%+6.15%+15.38%3.72%
7,325 IDR -1.01%+6.93%+39.52%3.32%
2,840 IDR -3.07%+1.43%-3.07%3.03%
24,150 IDR -0.41%-4.73%+6.74%2.00%
2,600 IDR -0.76%-5.80%+9.24%1.96%
4,820 IDR -4.08%-2.63%-4.08%1.87%
2,510 IDR -0.40%-10.36%-7.04%1.82%
1,405 IDR -1.75%+0.36%-12.73%1.75%
26.26 SGD +0.15%-0.91%-11.76%1.70%
875 IDR -5.91%-7.89%-34.21%1.69%
6,050 IDR -2.42%-0.82%-6.20%1.63%
10,600 IDR -0.93%+9.00%+0.24%1.50%
4,580 IDR -4.58%-9.75%-28.44%1.23%
550 IDR -0.90%-4.35%-1.79%1.21%
8,975 IDR -6.99%-6.99%+7.81%1.16%
795 IDR -2.45%-0.62%-19.70%1.12%
2,590 IDR -1.89%+8.82%-26.63%1.04%
1,555 IDR -4.89%-8.26%-13.13%0.93%
2,850 IDR -3.39%+6.34%0.00%0.88%
0.27 SGD 0.00%0.00%+3.85%0.85%
7,600 IDR -0.33%-0.65%-19.15%0.81%
3.58 HKD 0.00%-1.10%+15.11%0.76%
1,595 IDR +0.31%-9.38%-6.45%0.76%
11,100 IDR -0.89%+4.72%+18.40%0.72%
1,280 IDR -3.03%-5.19%+13.27%0.71%
2,040 IDR -4.67%-4.23%-29.66%0.70%
0.875 AUD -0.57%+2.94%+25.90%0.69%
97 IDR -5.83%+14.12%+14.12%0.68%
151 IDR -1.31%-5.03%-11.18%0.66%
6,375 IDR +2.41%+4.08%-52.51%0.65%
5,050 IDR -3.81%-6.91%+3.70%0.64%
24,500 IDR -1.90%-4.67%-4.48%0.63%
1,160 IDR 0.00%+4.50%-0.85%0.61%
120 IDR -4.76%+3.45%-44.44%0.61%
2,880 IDR -0.35%-8.28%+18.03%0.59%
1,000 IDR +0.50%-12.28%-17.01%0.58%
2,380 IDR 0.00%+8.68%+19.00%0.57%
19,100 IDR -0.26%-2.30%-6.03%0.54%
510 IDR -5.56%-4.67%+2.00%0.54%
4,090 IDR -0.24%-7.05%-5.10%0.48%
350 IDR -4.37%-5.41%-40.68%0.46%
7,600 IDR -6.75%-2.25%+4.11%0.45%
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ETF Ratings

Description

US92189F8335
Total Expense Ratio 0.82%
Asset Class
Sector
Size
Currency
Provider
Underlying MVIS Indonesia Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
15/01/2009
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 26 M€
AuM 1M 26 M€
AuM 3 months 27 M€
AuM 6 months 29 M€
AuM 12 months 27 M€
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