Type of security: Fund
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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 that tracks the energy sector of developed global markets outside the United States. The fund employs a sampling strategy in seeking to track the performance of the S&P Developed Ex-U.S. BMI Energy Sector Index. It generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index or in American Depositary Receipts ("ADRs") or Global Depositary Receipts ("GDRs") based on securities comprising the index. The fund is non-diversified.
|High 52 week||18.85||Low 52 week||15.99||Last close||17.8||Last change||0%|
|RSI||65.56||Average true range||1.36||Beta||0.87||Volume||18.87 K|
|Simple moving average 20 days||0.76%||Simple moving average 50 days||0.58%||Simple moving average 200 days||0.09%|
|Performance Week||0%||Performance Month||0.84%||Performance Quart||0.67%||Performance Half||-1.39%|
|Performance Year||11.33%||Performance Year-to-date||-2.87%||Volatility daily||0.71%||Volatility weekly||1.6%|
|Volatility monthly||3.28%||Volatility yearly||11.35%||Relative Volume||104.32%||Average Volume||31.22 K|
|New High||New Low|
|30-day SEC yield||Average market capitalization||Average weighted market capitalization||71.79 B||Forward P/E||12.85|
|Gross expense ratio||Index dividend yield||3.77||Median market cap||Number of holdings||131|
|Price to Book Value||1.33||Price to Earnings||Total expense ratio||0.5%||Total net assets|
|Weighted market capitalization|
|Index Dividend Yield||3.77|
|Fy1 P/E Ratio||12.85|
|Number Of Holdings||131|
|Average Weighted Market Capitalization||71791.22|
|Total Expense Ratio||0.50|
|Royal Dutch Shell Plc Class A||9.93|
|Royal Dutch Shell Plc Class B||6.69|
|Bg Group Plc||4.38|
|Suncor Energy Inc.||3.61|
|Canadian Natural Resources Limited||3.10|
|Oil Gas Consumable Fuels||89.62|
|Energy Equipment Services||9.03|
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