[AXJL] WisdomTree Pacific ex-Japan Ttl Div

Overview

Type of security: Fund

Tags: Asia, Asia-Pacific, Equity, ETF, Index Based, Not Inversed, Regional, Unleveraged

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Price: 56.71 Change: -0.3 (-0.53%)
Ext. hours: Change: 0 (0%)

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Strongest Trends Summary For AXJL

AXJL is in the long-term down -10% in 2 years and down -51% below S&P in 12 years.

Horizon: 3 hours | 2 days | 5 days | 10 days | 1 month | 6 months | 1 year | 2 years | 5 years | max

Chart type: absolute | relative to S&P

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Description: The investment seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Asia Pacific ex-Japan Index. Under normal circumstances, at least 95% of the fund's total assets (exclusive of collateral held from securities lending) will be invested in the component securities of the index and investments that have economic characteristics that are substantially identical to the economic characteristics of such component securities. The index is a fundamentally weighted index that is comprised of dividend paying companies in the Asia Pacific ex-Japan region. The fund is non-diversified.

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Technical Data
High 52 week75.06 Low 52 week59.78 Last close63.71 Last change0.82%
RSI66.94 Average true range0.69 Beta1.07 Volume1.39 K
Simple moving average 20 days3.3% Simple moving average 50 days2.23% Simple moving average 200 days-3.45%
Performance Data
Performance Week1.19% Performance Month3.23% Performance Quart1.98% Performance Half-3.65%
Performance Year-7.59% Performance Year-to-date4.15% Volatility daily1.09% Volatility weekly2.44%
Volatility monthly4.99% Volatility yearly17.29% Relative Volume138.79% Average Volume2.36 K
New High New Low
Funds Characteristics
30-day SEC yield Average market capitalization Average weighted market capitalization Forward P/E
Gross expense ratio Index dividend yield Median market cap Number of holdings229
Price to Book Value Price to Earnings Total expense ratio0.48% Total net assets52.58 M
Weighted market capitalization

Info

Characteristics:
NAME VALUE
Total Expense Ratio0,48
Number Of Holdings229
Total Net Assets52,58
Top Holdings:
NAME VALUE
China Mobile Ltd7,26
China Construction Bank Corp3,75
Bhp Billiton Ltd3,57
Telstra Corp Ltd3,16
Taiwan Semiconductor Manufacturing Co. Ltd.2,65
Ipath Msci India Index Etn2,5
Commonwealth Bank Of Australia2,49
Westpac Banking Corp2,31
Cnooc Ltd2,25
Singapore Telecommunications Ltd2,01
Top Sectors:
NAME VALUE
Financials24,16
Telecommunication Services21,99
Materials11,03
Energy9,88
Information Technology7,96
Industrials7,64
Consumer Staples7,3
Consumer Discretionary4,77
Utilities4,3
Health Care0,97
Top Countries:
NAME VALUE
Australia23,93
Hong Kong18,93
Taiwan12,21
China11,3
Malaysia6,96
South Korea6,56
Singapore6,35
Thailand5,42
Indonesia3,77
India2,77