PS Channel

Issuer: State Street
Total Net Assets: $1,542,681,058
Inception: 01/10/2007
Related Index: MSCI ACWI ex USA Index
ETF Category: Global
Expense Ratio: 0.34%
Net Asset Value: $38.95
Recent NAV Discount: -0.23%
NAV Symbol: CWI.NV
Number of Holdings: 990
Annualized Yield: 2.23%
Annualized Distribution: 0.868
Stock Weight Amount
Tencent Holdings LTD. 1.421321% $21,807,043.84
Nestle S.A. 1.243471% $19,078,326.86
Samsung Electronics CO. LTD. Gdr Regs 1.056718% $16,213,012.93
Hsbc Holdings Plc 0.968259% $14,855,804.19
Novartis AG 0.965114% $14,807,551.08
List of all 1024 stocks held by CWI »

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Quotes delayed 20 minutes

Buy (2.83 out of 4)
0th percentile
(ranked lower than approx. 100% of all etfs covered)
Based on
ETF Assets
SPY $282,154,343,612
GLD $35,312,846,962
XLF $33,604,288,190
DIA $23,247,951,031
MDY $20,671,231,961
List of all 134 others »
Shares Short 7,300
Chg. from Last Month -7,400
Shares Outstanding 39,600,000
% of Shares Short 0.02%
Days to Cover
Based on data powered by

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