Components WisdomTree Global Quality Dividend Growth UCITS ETF - USD

ETF

GGRW

IE00BZ56RN96

Market Closed - Swiss Exchange 09:25:01 31/05/2024 am IST 5-day change 1st Jan Change
30.88 EUR +0.57% Intraday chart for WisdomTree Global Quality Dividend Growth UCITS ETF - USD -1.88% +7.62%

Composition of WisdomTree Global Quality Dividend Growth UCITS ETF - USD

Weight
10,380 JPY +2.98%+6.58%-1.84%-.--%
7,900 GBX +1.88%-0.45%+11.42%-.--%
1,588 JPY +1.63%-0.56%-21.54%-.--%
90.28 USD -0.44%-2.32%-19.92%-.--%
71.06 USD +0.24%-1.21%+3.68%-.--%
38.7 USD +0.01%-0.03%+11.43%-.--%
249.9 USD +0.20%-0.93%+4.35%-.--%
44.16 USD -0.93%-2.93%+22.07%-.--%
191.9 CAD -0.50%-1.88%+16.66%-.--%
45.72 USD +0.30%-1.09%-12.12%-.--%
1,524 JPY +1.60%-4.00%-34.68%-.--%
210.6 USD +0.48%-0.84%+15.14%-.--%
406.7 USD -1.93%-5.47%+8.13%4.98%
190.6 USD -0.38%+0.20%-1.13%3.78%
147.4 USD +1.46%+0.22%-6.02%2.54%
1,326 USD -2.79%-6.27%+18.21%2.33%
95.56 CHF +1.51%+3.40%-2.00%2.25%
163.1 USD +0.31%-1.35%+11.29%2.12%
62.22 USD +0.41%+0.26%+5.48%2.06%
93.17 CHF +2.13%+1.56%+9.78%2.00%
231 CHF +1.18%+0.26%-5.52%1.85%
734.9 EUR +0.07%-2.01%+0.18%1.81%
170.1 USD -0.20%-4.49%+0.09%1.71%
496.6 USD +3.10%-2.23%-5.63%1.57%
96.6 USD -0.64%-2.34%+3.65%1.55%
43.56 EUR -1.80%-1.67%+10.47%1.21%
192.5 USD -1.62%-3.76%+12.45%1.21%
4,279 GBX +0.47%-0.40%+12.61%1.17%
138 USD +0.87%-0.67%-12.40%1.11%
12,190 GBX +1.35%-0.86%+15.00%1.10%
201 USD -1.85%-4.68%+38.65%1.09%
305.4 USD +1.46%-0.23%+5.94%1.09%
22.29 EUR +1.27%+2.44%+2.48%1.06%
452.1 EUR +1.66%+1.06%+0.32%1.05%
451.6 USD +0.30%-2.10%+17.04%1.05%
815.5 USD +0.06%+1.08%+40.02%0.98%
115.2 USD -1.60%-6.22%+9.33%0.98%
927.3 DKK +1.13%-0.16%+32.83%0.98%
101.6 USD -0.18%-2.42%-7.85%0.91%
63.56 USD -0.80%-3.35%-21.64%0.90%
228.5 USD +0.25%-1.68%-7.12%0.89%
870.8 EUR -1.16%-1.10%+27.74%0.82%
171.2 USD +0.65%+2.95%+6.59%0.81%
1,888 JPY +0.88%-0.55%+7.27%0.78%
270.1 USD -0.45%-1.68%+3.66%0.76%
38.66 EUR +0.70%-0.72%-13.81%0.75%
1,766 GBX +2.11%-0.45%+21.81%0.72%
337.9 USD -0.38%-3.46%+13.92%0.69%
217.9 USD +1.15%+1.02%-2.31%0.67%
152.5 USD +1.74%+4.86%+6.93%0.63%
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ETF Ratings

Description

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
01/11/2016
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 236 M€
AuM 1M 231 M€
AuM 3 months 159 M€
AuM 6 months 107 M€
AuM 12 months 79 M€
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