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      • iShares MSCI Singapore ETF is an exchange-traded fund incorporated in the USA. The ETF's objective seeks to provide investment results that correspond to the performance of the Singaporean market, as measured by the MSCI Singapore 25/50 Index. The ETF invests in a representative sample of index stocks using a "portfolio sampling" technique.
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  2. Overview. Performance & Distributions. Equity. EWS. iShares MSCI Singapore ETF. How To Buy. Add to Compare. NAV as of May 24, 2024 $19.62. 52 WK: 17.35 - 20.04. 1 Day NAV Change as of May 24, 2024 0.08 (0.40%) NAV Total Return as of May 23, 2024 YTD: 4.83% Fees as stated in the prospectus Expense Ratio: 0.50% Overview. Performance & Distributions.

  3. Yield 6.44%. YTD Daily Total Return 4.81%. Beta (5Y Monthly) 0.83. Expense Ratio (net) 0.50%. iShares MSCI Singapore ETF Overview iShares / Miscellaneous Region. The fund generally will...

  4. May 24, 2024 · Morningstar’s Analysis EWS. There is no Morningstar’s Analysis data available. Portfolio Holdings EWS. More EWS Holdings. Current Portfolio Date May 24, 2024. Equity Holdings — Bond Holdings...

  5. May 24, 2024 · iShares MSCI Singapore ETF. Price: undefined undefined. Change: Category: Asia Pacific Equities. Last Updated: May 24, 2024. Vitals. Issuer BlackRock, Inc. Brand iShares. Structure ETF. Expense Ratio 0.50% ETF Home Page Home page. Inception Mar 12, 1996. Index Tracked MSCI Singapore 25-50. Analyst Report. FA Report PDF.

  6. Overview. Performance & Distributions. Equity. EWS. iShares MSCI Singapore ETF. How To Buy. NAV as of May 24, 2024 $19.62. 52 WK: 17.35 - 20.04. 1 Day NAV Change as of May 24, 2024 0.08 (0.40%) NAV Total Return as of May 23, 2024 YTD: 4.83% Fees as stated in the prospectus Expense Ratio: 0.50% Overview. Performance & Distributions.

  7. 3 days ago · Overview. Market Screener. Sectors. |. EWS U.S.: NYSE Arca. iShares MSCI Singapore ETF. Watch list. NEW. Set a price target alert. Closed. Last Updated: May 24, 2024 4:10 p.m. EDT Delayed quote....

  8. EWS. iShares MSCI Singapore ETF. Add to Compare. NAV as of 24/May/2024 USD 19.62. 52 WK: 17.35 - 20.04. 1 Day NAV Change as of 24/May/2024 0.08 (0.40%) NAV Total Return as of 23/May/2024 YTD: 4.83% Fees as stated in the prospectus Expense Ratio: 0.50% Overview. Performance & Distributions. Important Information: Capital at Risk.

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