Components Xtrackers FTSE 250 ETF 1D

ETF

XMCX

LU0292097317

End-of-day quote London S.E. 04:30:00 11/12/2023 am IST 5-day change 1st Jan Change
17.86 GBP +0.53% Intraday chart for Xtrackers FTSE 250 ETF 1D +2.40% +6.29%

Composition of Xtrackers FTSE 250 ETF 1D

Weight
1,326 GBX +0.61%+0.65%-4.54%1.35%
3,324 GBX +1.53%+3.42%-12.04%1.18%
391.2 GBX -0.41%+1.14%-2.10%1.15%
1,226 GBX +1.41%+3.37%+16.32%1.08%
142.2 GBX +1.50%+2.16%-6.14%1.08%
147 GBX +0.65%+7.53%-17.72%1.03%
539 GBX +0.15%-1.50%+5.69%1.00%
9,790 GBX +1.98%+1.61%-0.81%1.00%
151.5 GBX +1.27%+1.61%-10.30%0.99%
2,935 GBX +0.34%+4.45%+13.10%0.98%
1,236 GBX +0.16%+2.15%+11.15%0.97%
1,193 GBX +1.62%+6.61%+30.03%0.97%
2,558 GBX +0.47%+3.15%-0.39%0.95%
1,778 GBX +1.77%0.00%+4.74%0.95%
101.4 GBX +2.94%+1.40%-10.90%0.87%
124 GBX 0.00%0.00%-10.53%0.86%
6.818 EUR +1.01%-0.15%-3.48%0.85%
747 GBX +1.36%+2.82%-2.42%0.85%
316 GBX +1.48%-0.13%-2.35%0.85%
785.6 GBX +4.05%+5.90%+7.03%0.84%
255 GBX +3.24%+3.57%+9.63%0.84%
803.5 GBX +1.13%+11.06%+12.30%0.83%
642.5 GBX +1.34%-0.62%-2.50%0.82%
2,076 GBX +1.67%+0.39%-12.03%0.82%
126.8 GBX +1.93%+2.92%-7.71%0.81%
2,762 GBX +2.30%-0.86%+6.15%0.81%
187.5 GBX +1.63%-3.30%+3.05%0.74%
72.1 GBX +2.27%+1.34%+13.94%0.72%
1,104 GBX +1.85%+2.60%-9.66%0.71%
1,154 GBX +0.70%+3.22%+8.66%0.71%
1,972 GBX +1.13%+6.94%+4.78%0.70%
1,374 GBX -1.01%-0.72%-2.90%0.67%
874.5 GBX +0.52%+1.63%+4.05%0.65%
413 GBX +0.85%+0.61%+0.85%0.63%
4,255 GBX -0.82%+1.67%+11.74%0.63%
197.1 GBX +0.41%+0.15%+2.92%0.63%
546 GBX 0.00%+0.18%+8.55%0.63%
333.5 GBX +2.14%+2.46%+3.73%0.62%
514 GBX +0.69%+0.59%+30.13%0.61%
676.5 GBX +1.65%+1.81%-9.98%0.61%
261 GBX +0.77%+2.35%-1.29%0.60%
297.1 GBX +1.26%+3.09%-3.73%0.60%
2,588 GBX +0.62%+1.17%-7.31%0.60%
214.4 GBX +0.09%-0.09%+30.37%0.58%
526 GBX +1.54%+6.35%+7.41%0.58%
137.4 GBX +1.78%+2.69%-0.51%0.58%
783.5 GBX +2.69%+2.42%-11.37%0.58%
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ETF Ratings

Description

LU0292097317
Total Expense Ratio 0.15%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE 250 Net Total Return Index - GBP

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
15/06/2007
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 35 M€
AuM 1M 34 M€
AuM 3 months 37 M€
AuM 6 months 34 M€
AuM 12 months 35 M€
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