Components iShares MSCI Mexico ETF - USD

ETF

EWW

US4642868222

Market Closed - Nyse 04:00:00 2024-04-26 pm EDT 5-day change 1st Jan Change
66.85 USD +1.60% Intraday chart for iShares MSCI Mexico ETF - USD +2.99% -1.47%

Composition of iShares MSCI Mexico ETF - USD

Weight
173.2 MXN -1.08%-0.09%+1.43%11.71%
205.1 MXN +3.46%-0.21%-7.21%11.36%
66.46 MXN -1.63%+3.26%-7.14%9.88%
16.18 MXN +2.80%+3.65%+2.80%7.78%
106.7 MXN +3.62%+4.10%+13.30%4.93%
14.14 MXN +0.28%+3.36%+6.96%4.50%
314.5 MXN +1.45%+18.17%+6.10%3.12%
68.92 MXN -2.24%-0.23%-19.81%3.11%
138.4 MXN +4.28%+0.16%-27.00%2.88%
48.77 MXN +3.61%-0.97%+4.41%2.78%
610.3 MXN +2.27%+15.90%+22.68%2.65%
24.94 MXN -2.65%-4.55%-18.42%2.62%
168.1 MXN +1.41%-0.43%-9.31%2.57%
346.9 MXN +2.83%+5.68%+11.50%1.84%
71.26 MXN -0.64%+5.57%-11.75%1.68%
36.69 MXN +0.58%+1.21%-3.88%1.67%
62.24 MXN +1.12%+3.60%-7.70%1.61%
189.6 MXN +3.50%+18.26%+5.47%1.51%
288.7 MXN +1.31%-2.44%+16.28%1.33%
64.97 MXN +4.66%+6.96%+14.38%1.27%
177.9 MXN +2.30%+1.73%-3.19%1.25%
154.4 MXN +2.45%+3.53%-4.87%1.19%
12.88 MXN +0.63%+6.71%-5.57%1.18%
220.6 MXN +3.36%+12.15%+28.58%1.13%
73.5 MXN -1.04%-0.26%+14.56%1.12%
29.72 MXN -7.41%-7.96%-21.00%1.10%
197.1 MXN +0.46%+5.24%-1.47%1.08%
19.53 MXN +3.88%+1.40%-18.42%0.97%
43.07 MXN -0.60%+2.60%+19.21%0.89%
28.29 MXN +5.25%+8.81%+19.97%0.86%
31.03 MXN -0.96%+3.30%-2.26%0.82%
10.77 MXN +6.21%+12.89%-5.03%0.75%
37.43 MXN +0.84%+6.15%-14.35%0.72%
33.35 MXN -0.27%-0.66%-5.09%0.54%
29.99 MXN -3.66%-2.25%-13.85%0.52%
14.68 MXN -2.13%+10.63%-8.25%0.44%
16.3 MXN +3.16%+8.23%+15.11%0.42%
2.98 MXN +1.02%+9.16%-28.02%0.33%
28.59 MXN +1.74%+1.93%-4.89%0.31%
50.91 MXN +3.86%+4.13%+34.26%0.31%
20.83 MXN +2.11%+0.39%-0.62%0.30%
5.3 MXN 0.00%+2.12%-23.52%0.30%
12.41 MXN -1.90%+4.20%-1.82%0.15%
5984a5f52c0e50cff567d.NAl_vVn-1Sw8-USUHNn2sWSWg5d_8eDQjUlENJqo41c.BHA0-mqK4XZ_twCiSqGl1wKn2dhMlNiyyCVxcNXxtQdQRAXUbJq2HGO7FQ

Description

US4642868222
Total Expense Ratio 0.50%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Mexico IMI 25/50 Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
1996-03-11
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 1,951 M€
AuM 1M 1,766 M€
AuM 3 months 1,911 M€
AuM 6 months 1,262 M€
AuM 12 months 1,121 M€
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  4. Components iShares MSCI Mexico ETF - USD