RETURN CHARACTERISTICS (JUL 29, 2022) ANNUALIZED STD DEV (%) 2 Turnover (%) 1 3 Yr 5 Yr 10 Yr 3 Yr MSCI World 2.53 18.92 16.79 13.73 0.55 SHARPE RATIO 2 , 3 5 Yr 10 Yr 0.52 0.72 Since Dec 29, 2000 0.34 MAXIMUM DRAWDOWN (%) Period YYYY-MM-DD 57.82 2007-10-31—2009-03-09...
MSCI World Index (Net Return) Holdings 10 Largest Collateral Holdings as of 2024-04-02 SecurityISINSedol CodeCountryAsset TypeWeight % AMERICA, UNITED STATES OF 0.125%/CPI INDEX 21-15.10.26US91282CDC29BLH25R7United StatesBonds0.00 FRANCE, REPUBLIC OF 0.250%/CPTFEMU LINKED 13-...
你好!msci world total return 摩根士丹利资本国际全球总回报
As of December 2021, the MSC Emerging Markets Index recorded a one-year net return of -2.54%, a five-year annualized return of 9.87%, and a 10-year annualized return of 5.49%. Since its inception on Dec. 29, 2000, it has returned an annualized 8.97%. By contrast, the MSCI World In...
Indexes – Bringing the World into Focus ACWI IMI's Complete Geographic Breakdown Using Climate Indexes to Address Your Climate Objectives Steps to Net-Zero Evaluating a Company’s Net-Zero Target Why Genomics is poised for growth Rethinking material use. The Circular Economy 101 Visualizing Millennia...
% NET ASSETS Microsoft Corp MSFT 15.28 Tesla Inc TSLA 4.93 The Home Depot Inc HD 2.12 Novo Nordisk A/S Class B NOV 2.10 ASML Holding NV ASML 1.67 MSCI World USD Net Total Return Future Dec 23 1.67 PepsiCo Inc PEP 1.64 Adobe Inc ADBE 1.63 Coca-Cola Co CCC3 ...
MSCI World Industrials ESG Reduced Carbon Select 20 35 Capped Index (USD) Umlaufende Anteile Per 17.Jan.2025 7’500’000 ISIN IE00BJ5JP659 Gewinnverwendung ausschüttend Domizil Irland Rebalancing-Intervall Vierteljährlich UCITS Ja
Overall Morningstar Rating for iShares MSCI World ETF, as of Dec 31, 2024 rated against 319 Global Large-Stock Blend Funds based on risk adjusted total return. Morningstar Medalist Rating Morningstar has awarded the Fund a Bronze medal. (Effective Nov 30, 2024) ...
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
URTH is priced competitively to rivals like the JPMorgan Diversified Return Global Equity ETF (JPGE) and the SPDR MSCI World StrategicFactors ETF (QWLD). ETF Database Themes Category Large Cap Growth Equities Asset Class Equity Asset Class Size Large-Cap Asset Class Style Blend Region (...