Components WisdomTree U.S. AI Enhanced Value Fund ETF - USD

ETF

AIVL

US97717W4069

Market Closed - Nyse 01:40:00 04/05/2024 am IST 5-day change 1st Jan Change
99.35 USD +0.79% Intraday chart for WisdomTree U.S. AI Enhanced Value Fund ETF - USD +1.02% +3.67%

Composition of WisdomTree U.S. AI Enhanced Value Fund ETF - USD

Weight
130.5 USD +3.13%-0.91%+1.61%3.57%
92.12 USD +0.38%-0.09%+2.96%3.14%
105.9 USD -0.02%-1.52%-3.79%3.11%
81.69 USD +0.95%+2.45%-0.84%3.03%
76.08 USD -0.03%+0.14%+3.33%3.02%
116 USD -0.21%-1.66%+16.02%2.96%
60.87 USD +1.33%+1.25%+4.70%2.82%
61.52 USD +0.84%-1.82%+19.60%2.79%
33.83 USD +0.80%+0.33%+1.53%2.62%
57.03 USD +0.35%-0.45%+3.99%2.62%
28.09 USD +0.61%+3.96%+3.65%2.61%
97.15 USD +0.35%+5.79%-11.13%2.48%
10.02 USD +1.47%+11.65%+3.89%2.44%
28.54 USD +0.14%+2.15%+7.50%2.39%
37.24 USD +0.98%-1.56%+10.60%2.35%
38.67 USD +0.34%-1.50%+11.02%2.16%
43.59 USD -0.89%+0.48%+8.06%2.08%
85.59 USD +0.26%-1.06%+6.43%1.89%
38.69 USD +0.86%+0.31%-11.77%1.79%
18.58 USD +0.62%-0.56%+5.30%1.76%
139.4 USD +1.40%+1.24%+0.30%1.67%
23.82 USD +0.93%-0.13%+2.94%1.59%
59.94 USD +0.18%+0.05%+21.78%1.57%
24.53 USD +0.86%+2.25%-2.39%1.55%
97.41 USD +0.10%+2.52%+3.54%1.44%
77.29 USD +2.24%+20.65%+0.17%1.41%
33.72 USD +0.43%+7.61%+10.72%1.38%
47.25 USD +1.24%+2.72%-10.29%1.21%
43.85 USD +1.18%+0.48%-8.24%1.21%
78.89 USD +2.32%+18.81%+45.77%1.19%
25.06 USD -0.08%+1.58%+26.57%1.17%
82.08 USD +2.97%+3.64%-4.76%1.16%
27.81 USD +0.40%+9.49%-3.40%1.13%
36.62 USD +0.19%+0.66%+12.99%1.00%
29.45 USD +0.17%+2.08%+3.08%0.95%
36.35 USD -1.01%-4.74%-1.70%0.90%
211.4 USD +0.63%+2.37%+18.16%0.86%
16.86 USD +2.00%-1.81%-0.71%0.85%
21.9 USD -0.99%-7.59%-8.71%0.85%
428.2 USD +1.16%+1.61%-10.23%0.83%
65.91 USD +0.53%+1.18%+7.77%0.80%
30.62 USD -0.07%+1.63%+4.15%0.79%
527 USD +0.26%-1.92%+11.75%0.76%
28.18 USD +0.86%+0.64%-6.35%0.67%
31.34 USD +0.10%+1.42%-9.71%0.62%
76.54 USD +0.83%+0.74%+7.12%0.60%
385.3 USD -0.07%+2.86%-13.66%0.59%
64.39 USD -0.42%-5.00%+7.84%0.58%
11.48 USD -1.71%+0.61%-5.75%0.58%
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Description

US97717W4069
Total Expense Ratio 0.38%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
16/06/2006
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 351 M€
AuM 1M 348 M€
AuM 3 months 345 M€
AuM 6 months 343 M€
AuM 12 months 358 M€
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