IQDF FlexShares International Quality Dividend Index Fund

79

NYSE ARCA | ETF

Price
$32.42
Decreased by -1.50%
Dollar volume (20D)
3.91 M
ADR%
0.69
Financial Services - 28.36%Technology - 12.60%Industrials - 12.42%Basic Materials - 8.98%Consumer Cyclicals - 8.84%Healthcare - 6.71%Communication Services - 5.85%Energy - 5.59%Consumer Defensive - 5.04%Utilities - 3.98%Real Estate - 1.62%
Financial Services - 28.36%
Technology - 12.60%
Industrials - 12.42%
Basic Materials - 8.98%
Consumer Cyclicals - 8.84%
Healthcare - 6.71%
Communication Services - 5.85%
Energy - 5.59%
Consumer Defensive - 5.04%
Utilities - 3.98%
Real Estate - 1.62%

The index is designed to reflect the performance of a selection of companies that, in aggregate, provide exposure to a high-quality income-oriented universe of long-only international securities issued by non-U.S.- based companies.

The fund will invest at least 80% of its total assets in the securities of the index and in ADRs and GDRs based on the securities in the index.

Top 20 Holdings

Asset Name Sector Industry Weight
2330 Taiwan Semiconductor Manufacturing Co. Ltd. Technology Semiconductors 3.44%
0QIU Novo Nordisk A/S Class B 2.04%
ROG Roche Holding AG Healthcare Drug Manufacturers - General 2.01%
HSBA HSBC Holdings PLC Financial Services Banks - Diversified 1.95%
NOVO-B Novo Nordisk A/S Healthcare Drug Manufacturers - General 1.78%
6857 Advantest Corp. Technology Semiconductor Equipment & Materials 1.78%
8035 Tokyo Electron Limited Technology Semiconductor Equipment & Materials 1.76%
RY Royal Bank of Canada Financial Services Banks - Diversified 1.68%
GSK GlaxoSmithKline PLC Healthcare Drug Manufacturers - General 1.46%
0939 China Construction Bank Corp Financial Services Banks - Diversified 1.40%
NOVN Novartis AG Healthcare Drug Manufacturers - General 1.37%
ENEL Enel SpA Utilities Utilities - Diversified 1.28%
BHP BHP Group Ltd Basic Materials Other Industrial Metals & Mining 1.25%
2454 MediaTek Inc Technology Semiconductors 1.22%
UCG UniCredit S.p.A. Financial Services Banks - Regional 1.16%
7974 Nintendo Co Ltd Communication Services Electronic Gaming & Multimedia 1.06%
NESN Nestlé S.A. Consumer Defensive Packaged Foods 1.03%
RY Royal Bank of Canada Financial Services Banks - Diversified 1.03%
0700 Tencent Holdings Ltd Communication Services Internet Content & Information 1.01%
ASML ASML Holding N.V. Technology Semiconductor Equipment & Materials 1.00%
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