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FlexShares ESG & Climate Developed Markets ex-US Core Index Fund, ETF

FEDM

PCQ

$51.4688

+$0.22

(0.43%)

Provider: Flexshares Category: Foreign Large Blend

Price Chart

Key Metrics

Expense Ratio info-icon
The expense ratio is how much you pay a mutual fund or ETF per year, expressed as a percent of your investments. It is a measure of the fund's operating costs relative to assets.
0.12%
Volume info-icon
This is the total number of shares traded during the most recent trading day.
70.00
Avg Volume info-icon
This is the average number of shares traded during the most recent 30 days.
0
Dividend Yield info-icon
This ratio shows how much income you earn in dividend payouts per year for every dollar invested in the stock (or the stock’s annual dividend payment expressed as a percentage of its current price).
2.8%
Beta info-icon
This measures the expected move in a stock’s price relative to movements in the overall market. The market, such as the S&P 500 Index, has a beta of 1.0. If a stock has a Beta greater (or lower) than 1.0, it suggests that the stock is more (or less) volatile than the broader market.
1.02
52-week Range info-icon
This shows the range of the stock’s price between the 52-week high (the highest price of the stock for the past 52 weeks) and the 52-week low (the lowest price of the stock for the past 52 weeks).
$46.48 L
$53.37 H
$51.4688

About FlexShares ESG & Climate Developed Markets ex-US Core Index Fund, ETF

The underlying index is designed to reflect the performance of a selection of companies that exhibit certain ESG characteristics, while also seeking to provide broad-market, core exposure to publicly traded equity securities issued by companies domiciled in developed market countries, excluding the U.S. The fund will invest at least 80% of its total assets in the securities of the underlying index and in ADRs and GDRs based on the securities in the underlying index. The fund is non-diversified. more

Provider: FlexsharesCategory: Foreign Large Blend

Returns

Time FrameFEDMS&P500
1-Week Return2.65%1.53%
1-Month Return7.99%4.75%
3-Month Return4.72%2.77%
6-Month Return2.68%12.18%
1-Year Return8.35%22.34%
3-Year Return5.46%38.91%
5-Year Return2.3%80.7%

Largest Holdings

Stock name Ticker Weight
SAP-img SAP SE
SAP
2.51%
ASML-img ASML Holding NV
ASML
1.77%
0QIU-img Novo Nordisk A/S Class B
0QIU
1.76%
CBA-img Commonwealth Bank Of Australia
CBA
1.7%
SHEL-img Shell plc
SHEL
1.55%
ALV-img Allianz SE VNA O.N.
ALV
1.53%
AZN-img AstraZeneca PLC
AZN
1.47%
SU-img Schneider Electric S.E.
SU
1.46%
RY-img Royal Bank of Canada
RY
1.46%
6501-img Hitachi Ltd
6501
1.43%

Sector Breakdown

Sector Weight
Financials
24.15%
Industrials
16.15%
Information Technology
11.71%
Health care
11.65%
Consumer discretionary
8.12%
All Others
28.22%

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