Components Vanguard FTSE Emerging Markets ETF - USD

ETF

0LMP

US9220428588

Market Closed - London S.E. 07:44:04 22/05/2024 pm IST 5-day change 1st Jan Change
44.54 USD -0.62% Intraday chart for Vanguard FTSE Emerging Markets ETF - USD +0.84% +8.53%

Composition of Vanguard FTSE Emerging Markets ETF - USD

Weight
869 TWD +0.23%+4.07%+46.54%5.46%
377.4 HKD +0.11%-4.46%+28.54%3.14%
2,932 INR -0.95%+2.19%+13.45%1.39%
1,528 INR +0.69%+4.21%-10.62%1.28%
157.6 USD +2.56%+7.78%+7.70%1.18%
1,471 INR +0.43%+1.92%-4.64%0.87%
65.08 BRL +2.76%-1.62%-15.70%0.80%
118.7 HKD +2.06%-5.04%+44.93%0.75%
5.83 HKD +0.34%-0.34%+25.38%0.74%
1,285 TWD +7.53%+10.30%+26.60%0.66%
3,847 INR -0.06%-0.11%+1.41%0.61%
77.8 SAR -0.26%-2.75%-10.06%0.61%
185 TWD +5.11%+8.82%+77.03%0.54%
37.01 BRL -4.46% - - 0.51%
4.66 HKD 0.00%-1.06%+21.99%0.51%
9,300 IDR -1.33%-4.62%-1.06%0.45%
3,902 ZAR -0.14%-0.16%+24.73%0.42%
3.87 HKD -0.51%+0.26%+29.87%0.41%
1,187 INR +1.11%+3.86%+7.64%0.40%
33.7 SAR +1.97%-3.85%-12.81%0.40%
1,384 INR -0.35%+2.63%+33.97%0.40%
18.44 HKD +0.77%-7.52%+18.21%0.39%
164.4 MXN +2.64%-5.86%-3.70%0.39%
3,651 INR +0.69%+5.39%+3.51%0.38%
2,384 INR +0.58%+2.42%-10.50%0.38%
31.76 BRL -0.28% - - 0.37%
29.5 SAR +0.17%-1.34%-10.61%0.36%
207 HKD -0.48%-7.01%-3.45%0.36%
4,550 IDR -3.60%-7.52%-20.52%0.35%
194.1 MXN -0.94%-2.59%-12.18%0.32%
346 TWD +5.49%+7.29%+10.37%0.29%
0.86 KWD -0.81%-1.71%+1.01%0.29%
65.07 MXN -1.99%-4.17%-9.08%0.29%
6,896 INR +0.86%+2.34%-5.90%0.29%
0.736 KWD -0.94%-1.34%+10.49%0.29%
16.22 MXN -1.04%-1.10%+3.05%0.28%
1,670 CNY -0.42%-2.62%-3.24%0.28%
68.35 ZAR +0.28%-0.54%-7.02%0.27%
76.3 SAR +0.13%-4.51%-8.62%0.27%
13 QAR -1.52%-6.27%-21.36%0.26%
2,549 INR -1.19%+1.81%+47.40%0.26%
293.5 TWD +2.44%+2.62%+30.73%0.26%
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ETF Ratings

Description

US9220428588
Total Expense Ratio 0.08%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Emerging Markets All Cap China A Inclusion Net Tax (US RIC) Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
03/03/2005
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 71,422 M€
AuM 1M 71,077 M€
AuM 3 months 66,460 M€
AuM 6 months 64,346 M€
AuM 12 months 64,803 M€
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