[GNR] SPDR Index Shares Fund


Type of security: Fund

Tags: Equity, ETF, Global, Index Based, Materials, Natural Resources, Not Inversed, Stocks, Unleveraged

The data is delayed by 15 minutes.


Price: 40.94 Change: -0.01 (-0.02%)
Ext. hours: Change: 0 (0%)

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Strongest Trends Summary For GNR

GNR is in the medium-term down -7% in 2 months and down -12% below S&P in 6 months. In the long-term down -18% below S&P in 1 year and up 38% in 5 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 investment results that, before fees and expenses, correspond generally to the total return performance of an index. The fund employs a replication strategy in seeking to track the performance of the S&P Global Natural Resources Index. It typically invests in substantially all of the securities represented in the index in approximately the same proportions as the index. The index is comprised of 90 of the largest U.S. and foreign publicly traded companies, based on market capitalization, in natural resources and commodities businesses that meet certain investability requirements.

Technical Data
High 52 week52.44 Low 52 week39.53 Last close43.43 Last change-0.76%
RSI30.52 Average true range0.94 Beta1.1 Volume28.43 K
Simple moving average 20 days-2.73% Simple moving average 50 days-4.22% Simple moving average 200 days-4.35%
Performance Data
Performance Week-1.43% Performance Month-6.62% Performance Quart-2.81% Performance Half-2.24%
Performance Year-16.8% Performance Year-to-date5.32% Volatility daily0.91% Volatility weekly2.03%
Volatility monthly4.16% Volatility yearly14.4% Relative Volume266.49% Average Volume101.87 K
New High New Low
Funds Characteristics
30-day SEC yield Average market capitalization Average weighted market capitalization74.64 B Forward P/E12.86
Gross expense ratio Index dividend yield3.1 Median market cap Number of holdings105
Price to Book Value 1.51 Price to Earnings Total expense ratio0.4% Total net assets
Weighted market capitalization


Index Dividend Yield3.10
Fy1 P/E Ratio12.86
Number Of Holdings105
P/Bv Ratio1.51
Average Weighted Market Capitalization74639.24
Total Expense Ratio0.40
Top Holdings:
Exxon Mobil Corporation5.15
Bhp Billiton Limited4.79
Syngenta Ag4.47
Potash Corporation Of Saskatchewan Inc.3.96
Monsanto Company3.86
Glencore Xstrata Plc3.53
Chevron Corporation3.32
Total Sa3.24
Bp P.l.c.3.12
Royal Dutch Shell Plc Class A2.94
Top Sectors:
Integrated Oil Gas27.56
Fertilizers Agricultural Chemicals19.61
Diversified Metals Mining16.90
Oil Gas Exploration Production5.37
Paper Products4.94
Agricultural Products4.27
Paper Packaging3.49
Specialized Reits1.97
Top Countries:
United States32.27
United Kingdom14.52
South Korea1.35


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