Components VanEck Vectors Natural Resources ETF - USD

ETF

HAP

US92189F8418

Delayed Nyse 07:14:26 23/05/2024 pm IST 5-day change 1st Jan Change
52.54 USD +0.08% Intraday chart for VanEck Vectors Natural Resources ETF - USD -0.86% +7.64%

Composition of VanEck Vectors Natural Resources ETF - USD

Weight
244.8 USD -2.75%+25.27%+41.51%0.12%
56.65 USD -1.03%+0.53%+3.01%0.12%
1,782 JPY +0.08%-4.66%-6.16%0.12%
117.1 USD +0.35%-2.49%+37.55%0.12%
13.65 EUR 0.00%+0.63%-4.40%0.12%
368.4 SEK +0.05%+0.63%+17.07%0.12%
5,295 JPY -1.25%+3.88%+24.71%0.12%
135.7 USD -0.87%-0.94%+5.13%0.12%
90.18 USD +0.48%-0.85%+17.42%0.12%
21.48 AUD +1.13%+1.03%-8.21%0.12%
25.55 USD +0.63%-3.42%+26.94%0.12%
24.11 USD -2.39%-1.22%+30.18%0.11%
263.8 NOK +1.19%-0.23%-10.73%0.11%
2,018 JPY +1.97%+4.72%+10.76%0.11%
65.54 USD -0.36%-5.20%+2.96%0.11%
4,503 JPY +0.13%-2.62%+19.25%0.11%
129.3 USD -0.92%-0.42%+6.72%0.11%
6.38 HKD -0.78%-1.39%+6.69%0.11%
24.6 EUR +2.74%-3.70%+104.00%0.11%
76.73 AUD -2.17%-1.63%+9.61%0.11%
18.26 USD +0.08%-3.23%-9.86%0.11%
60.2 USD +0.64%+2.66%+4.27%0.11%
19.88 EUR 0.00%+4.06%+49.03%0.10%
89.48 USD +0.10%-0.04%+26.54%0.10%
4 AUD -1.48%-0.25%+1.27%0.10%
19.08 CAD -1.60%-4.03%+48.25%0.10%
377.2 GBX +0.11%+2.22%+22.88%0.10%
29.52 USD -1.22%-2.02%-11.37%0.10%
82.96 USD -1.35%-1.17%+13.62%0.10%
10.86 CAD +0.32%+1.87%+35.54%0.10%
56.12 USD -0.05%-2.73%+12.49%0.10%
17.38 USD +0.90%+1.47%+13.93%0.10%
3,338 JPY +0.39%-1.04%+3.09%0.10%
21.6 MYR -3.74%-3.83%-1.01%0.10%
47.35 HKD -0.21%+0.53%+4.64%0.10%
5,225 IDR +0.97%-2.79%+3.98%0.10%
37.05 USD -0.46%-0.16%+21.06%0.09%
43.91 BRL -0.68%-7.34%-4.67%0.09%
7.415 USD +0.75%-1.40%+13.21%0.09%
111.4 CAD -0.65%+0.47%-1.70%0.09%
16.09 CAD -1.65%-3.82%+48.62%0.09%
405 DKK -1.30%-6.43%+8.10%0.09%
439.8 USD -0.27%+0.02%+23.25%0.09%
18.31 CAD -1.88%+1.55%+69.12%0.09%
41.2 USD -2.27%+2.62%+21.18%0.09%
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ETF Ratings

Description

US92189F8418
Total Expense Ratio 0.49%
Asset Class
Sector
Size
Currency
Provider
Underlying Rogers - Van Eck Natural Resources Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
28/08/2008
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 105 M€
AuM 1M 104 M€
AuM 3 months 104 M€
AuM 6 months 129 M€
AuM 12 months 121 M€
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