Net Assets of Fund as of Jan 21, 2025 $19,743,691,959 Exchange NASDAQ Benchmark Index MSCI ACWI Index Shares Outstanding as of Jan 21, 2025 163,200,000 Premium/Discount as of Jan 21, 2025 -0.02 Closing Price as of Jan 21, 2025 ...
The investment objective of the Fund is to deliver the net total return of the MSCI ACWI Net Total Return Index. Methodologies Details on the Reference Index can be found at www.msci.com. Data sources & processing Not Applicable Reference benchmark ...
The investment objective of the Fund is to deliver the net total return of the MSCI ACWI Net Total Return Index. Methodologies Details on the Reference Index can be found at www.msci.com. Data sources & processing Not Applicable Reference benchmark MSCI ACW...
Net Assets of Fund as of Jan 03, 2025 $19,339,848,280 Exchange NASDAQ Benchmark Index MSCI ACWI Index Shares Outstanding as of Jan 03, 2025 163,200,000 Premium/Discount as of Jan 03, 2025 -0.01% Closing Price as of Jan 03, 2025 118.49 30 Day Avg. Volume as of Ja...
NET RETURNS (%) (DEC 31, 2024) 1 Mo 3 Mo 1 Yr YTD 3 Yr FUNDAMENTALS (DEC 31, 2024) ANNUALIZED 5 Yr 10 Yr Since Dec 29, 2000 Div Yld (%) P/E P/E Fwd P/BV MSCI ACWI -2.37 -0.99 17.49 17.49 5.44 10.06 9.23 6.52 1.82 21.97 18.00 3.25 MSCI World -2.61 -0.16 18.67 18.67...
MSCI ACWI ESGユニバーサル指数 MSCI日本株ESGセレクト・リーダーズ指数 2024年注目のサステナビリティ・気候変動トレンド 発行体の皆様 MSCI ジャパン気候変動指数(セレクト) MSCI Return Spread Indexes MSCI Global China Infrastructure Exposure Index Decrement Indexes Wealth PIMFA Private Investo...
The investment objective of the Fund is to deliver the net total return of the Reference Index (being MSCI ACWI Net Total Return Index) which captures the large and mid cap representation of equities across developed markets and emerging markets countries. ...
The iShares Currency Hedged MSCI ACWI ex U.S. ETF seeks to track the investment results of an index composed of large- and mid-capitalization developed and emerging equities, excluding the U.S., while mitigating exposure to fluctuations between the value
ACWI: iShares MSCI All-World ACWI Index Last Price Dividend * Yield * Dividend Payments * 118.59 $2.00 1.69 % 2 Volatility * S&P 500 Volatility * S&P 500 Correlation * 11.8 % 12.6 % +0.96 Net Assets (Million) First Data More info
Net Assets of Fund as of Dec 06, 2024 $38,877,853,313 Exchange NASDAQ Benchmark Index MSCI ACWI ex USA IMI Index Shares Outstanding as of Dec 06, 2024 556,300,000 Premium/Discount as of Dec 06, 2024 0.11% Closing Price as of Dec 06, 2024 ...