Composizione iShares Morningstar Mid-Cap ETF - USD

ETF

IMCB

US4642882082

Mercato chiuso - Nyse 22:00:00 30/04/2024 Variaz. 5gg Var. 1 gen.
69,13 USD -1,56% Grafico intraday di iShares Morningstar Mid-Cap ETF - USD -0,62% +2,98%

Composizione del iShares Morningstar Mid-Cap ETF - USD

Peso
256,2 USD +3,67%+13,55%+11,54%0.62%
292,5 USD -3,78%-2,37%+14,58%0.60%
244,7 USD -1,62%-4,71%-11,35%0.60%
317,3 USD +5,48%+7,54%+30,11%0.58%
1.248 USD -0,85%+0,45%+23,37%0.56%
212,8 USD -1,81%-2,33%-12,58%0.54%
106,1 USD -6,63%-6,36%+8,66%0.52%
65,91 USD -4,13%+3,21%+9,29%0.52%
95,28 USD -0,52%+2,53%+5,67%0.52%
93,78 USD -1,62%-1,77%-18,59%0.52%
37,55 USD -1,98%-3,32%+1,71%0.51%
44,53 USD -3,28%-1,26%+23,97%0.51%
259,4 USD -1,32%-1,06%-14,93%0.50%
61,49 USD -1,95%+11,52%+7,03%0.50%
143,4 USD -1,42%-3,02%+9,39%0.50%
12,15 USD -4,71%-6,11%-0,33%0.50%
91,98 USD -1,29%+6,72%+2,00%0.50%
127,4 USD +1,26%-4,93%+2,66%0.49%
142,5 USD -2,38%-3,74%-6,24%0.49%
140,5 USD -2,97%-2,26%-1,48%0.49%
40,64 USD -3,83%+7,77%-1,81%0.48%
84,67 USD -1,49%-3,51%+11,04%0.48%
492,8 USD -2,49%-0,21%-11,22%0.48%
75,31 USD -0,57%+0,51%+11,16%0.48%
465,8 USD -2,35%+4,44%-17,65%0.47%
212,2 USD -0,35%-1,01%+11,38%0.45%
129,6 USD -1,15%-2,66%-6,39%0.45%
197,3 USD -2,41%+0,12%+8,34%0.45%
73 USD -3,07%-2,94%-5,62%0.45%
86,03 USD -0,74%+0,55%+5,92%0.45%
168,5 USD -3,83%-3,50%-3,17%0.45%
38,36 USD -2,17%-1,08%+10,13%0.44%
231,8 USD -1,58%-2,87%+0,17%0.44%
141,5 USD -0,94%-1,22%+0,70%0.44%
53,54 USD -1,42%+0,28%-6,76%0.43%
136,5 USD +0,44%+0,36%+12,36%0.43%
79,12 USD -2,82%-1,53%+12,67%0.43%
138,8 USD -2,50%+0,18%+3,12%0.43%
54,31 USD -2,51%-.--%+10,84%0.43%
157,8 USD -2,40%-0,68%-7,55%0.42%
56,49 USD -1,47%-1,65%+8,53%0.42%
73,06 USD -1,04%-3,67%-1,55%0.41%
50,98 USD -0,31%+0,61%+8,47%0.41%
65,07 USD -0,37%-0,15%+12,89%0.41%
209,9 USD -2,44%-0,94%+8,72%0.41%
137 USD -1,83%-1,55%-1,43%0.41%
668 USD -6,27%+1,01%+16,49%0.41%
118,8 USD -1,66%-2,31%-0,25%0.40%
181,7 USD -1,37%-17,13%-10,34%0.40%
56,9 USD -1,56%+0,28%+3,76%0.40%
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Descrizione

Codice ISIN US4642882082
Spese di gestione (TER) 0.04%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante Morningstar U.S. Mid Cap GTR Index - USD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
28/06/2004
Politica dei dividendi
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 28/03/2024 )

AuM (EUR) 806 M€
AuM 1 mese 779 M€
AuM 3 mesi 729 M€
AuM 6 mesi 679 M€
AuM 12 mesi 658 M€
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