Components iShares Core MSCI AC Asia ex Japan Index ETF - USD

ETF

9010

HK0000310042

Market Closed - Hong Kong S.E. 04:08:05 2024-05-31 am EDT 5-day change 1st Jan Change
6.73 USD -0.96% Intraday chart for iShares Core MSCI AC Asia ex Japan Index ETF - USD -3.93% +4.83%

Composition of iShares Core MSCI AC Asia ex Japan Index ETF - USD

Weight
821 TWD -2.03%-5.31%+38.45%7.81%
73,500 KRW -.--%-3.16%-6.37%4.77%
359.8 HKD -2.23%-4.56%+22.55%4.10%
60.45 HKD +1.09%-.--%-11.17%1.64%
2,861 INR +0.39%-3.37%+10.67%1.56%
149.8 USD -1.50%-4.96%+2.35%1.43%
1,121 INR +0.66%-0.96%+12.49%1.03%
1,407 INR -1.44%-3.97%-8.81%1.02%
189,200 KRW -3.32%-4.73%+33.71%0.98%
1,532 INR +1.10%+0.95%-10.40%0.95%
5.54 HKD -1.07%-4.65%+19.14%0.93%
105.1 HKD -3.49%-9.63%+28.33%0.87%
1,235 TWD -4.26%+3.35%+21.67%0.84%
35.99 SGD +1.04%+0.33%+18.49%0.74%
3,671 INR -1.74%-4.64%-3.23%0.69%
172 TWD -2.55%-2.27%+64.59%0.69%
262.8 HKD -0.23%-4.09%-1.94%0.67%
9,250 IDR +2.78%-1.86%-1.60%0.56%
14.51 SGD +0.83%+0.42%+11.62%0.55%
4.42 HKD -1.12%-5.15%+15.71%0.52%
17.48 HKD -1.24%-4.48%+12.05%0.52%
3.7 HKD -0.27%-4.88%+24.16%0.50%
1,162 INR -0.82%-1.06%+5.33%0.50%
219.6 HKD +0.09%+5.58%+2.43%0.47%
3,667 INR +0.89%+1.14%+3.98%0.47%
1,372 INR -0.40%-1.21%+32.82%0.46%
30.79 SGD +0.75%+0.79%+8.22%0.46%
369,000 KRW -0.14%-3.28%-26.13%0.45%
2,329 INR -0.89%-1.74%-12.57%0.43%
1,680 INR -0.65%-1.37%-11.97%0.42%
4,340 IDR -0.91%-8.05%-24.19%0.41%
6,698 INR +1.23%-2.04%-8.60%0.39%
170,200 KRW -0.12%-4.92%-24.02%0.37%
253,000 KRW -1.56%-5.42%+24.32%0.36%
374,500 KRW -1.19%-6.61%-20.66%0.33%
117,700 KRW -.--%-1.92%+17.70%0.33%
325 TWD -1.52%-0.91%+3.67%0.33%
55 TWD -1.43%+0.73%+4.56%0.32%
351,500 KRW +0.29%-10.79%-29.56%0.32%
274 TWD -2.66%-4.36%+22.05%0.31%
2,506 INR +0.51%-2.85%+44.92%0.31%
1,648 CNY -0.03%-1.71%-4.49%0.30%
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Description

HK0000310042
Total Expense Ratio 0.28%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI AC ASIA ex JAPAN (2015) USD Net Total Return - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2009-03-10
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 2,944 M€
AuM 1M 2,852 M€
AuM 3 months 1,358 M€
AuM 6 months 1,383 M€
AuM 12 months 1,507 M€
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