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iShares MSCI Malaysia New

iShares MSCI Malaysia New (EWM)

24.07
0.23
(0.96%)
마감 27 1월 6:00AM
24.1893
0.1193
(0.50%)
시간외 거래: 9:59AM

실시간 토론 및 거래 아이디어: 강력한 플랫폼으로 자신있게 거래하세요.

주요 통계 및 세부정보

가격
24.07
매수가
-
매도가
-
거래량
270,192
24.04 일간 변동폭 24.11
20.94 52주 범위 27.49
market_cap
전일 종가
23.84
개장가
24.06
최근 거래 시간
16567
@
24.07
마지막 거래 시간
재정 규모
US$ 6,500,920
VWAP
24.0604
평균 볼륨(3m)
299,911
발행 주식
12,450,000
배당수익률
-
주가수익률
4.53
주당순이익(EPS)
5.31
매출
10.23M
순이익
66.08M

iShares MSCI Malaysia New 정보

The investment seeks to track the investment results of the MSCI Malaysia Index. The fund will at all times invest at least 90% of its assets in the securities of its underlying index and in depositary receipts representing securities in its underlying index. The underlying index primarily consists ... The investment seeks to track the investment results of the MSCI Malaysia Index. The fund will at all times invest at least 90% of its assets in the securities of its underlying index and in depositary receipts representing securities in its underlying index. The underlying index primarily consists of stocks traded on the Kuala Lumpur Stock Exchange. It will include large- and mid-capitalization companies and may change over time. The fund is non-diversified. 더 보기

섹터
Mgmt Invt Offices, Open-end
산업
Mgmt Invt Offices, Open-end
웹사이트
본부
Baltimore, Maryland, USA
설립됨
-
iShares MSCI Malaysia New is listed in the Mgmt Invt Offices, Open-end sector of the 아메리카 증권거래소 with ticker EWM. The last closing price for iShares MSCI Malaysia was US$23.84. Over the last year, iShares MSCI Malaysia shares have traded in a share price range of US$ 20.94 to US$ 27.49.

iShares MSCI Malaysia currently has 12,450,000 shares in issue. The market capitalisation of iShares MSCI Malaysia is US$296.81 million. iShares MSCI Malaysia has a price to earnings ratio (PE ratio) of 4.53.

EWM 최신 뉴스

No news to show yet.
기간변동변동 %시가고가저가평균 일일 거래량VWAP
10.682.9072253099623.3924.189323.3732107923.67561212SP
4-0.24-0.98724804607224.3124.6823.1133176123.86945226SP
12-0.74-2.9826682789224.8125.3523.1129991124.27368962SP
260.93.8843331894723.1727.4922.5635607724.9602209SP
522.9313.859981078521.1427.4920.9432327623.71727453SP
156-0.21-0.86490939044524.2827.4919.635529122.92101682SP
260-4.09-14.524147727328.1629.6419.0638225124.32817231SP

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EWM Discussion

게시물 보기
frenchee frenchee 17 년 전
Breakout today! Let the good times roll...
👍️0
frenchee frenchee 17 년 전
Lots of resistance around 11.35. Will be a surprize to me if the current run gets significantly past this level...
👍️0
frenchee frenchee 18 년 전
Check out the negative divergence between price and its momentum indicators on the weekly charts in the iBox. This ETF appears to be hanging by a thread.
👍️0
frenchee frenchee 18 년 전
The below is too glowing. Top almost at hand?

SUMMARY
We rate iShares MSCI Malaysia at A. Positive factors that influence this rating include a well
above average total return, low asset volatility, low expense structure and long term portfolio
management tenure. The fund invests approximately 100% of its assets in stocks and may be
considered for investors seeking a Non-US Equity strategy.

POSITIVES AND RISKS
Total return ranks well below peers over the last three years. The iShares MSCI Malaysia has
returned an annual rate of 0.51% since inception. More recently, the fund has generated a total
return of 15.72% in the last five years, 19.95% in the last three years, and 51.55% in the last
year. How does that compare to other equity funds? In the last five years, it has outperformed
80% of them. It has also outpaced 83% of its competitors on a three year basis and 99% of them
over the last year for the period ending 3/31/2007. On a year to date basis, EWM has returned
24.40%.



Downside risk has been above average. EWM has a draw down risk of -13.58%, which is the
largest price decline experienced over the last three years. This fund has a three year standard
deviation of 15.6. This fund has had moderate volatility in its monthly performance over the last
36 months. As of 3/31/2007, the fund was trading at a price of $10.83, which is 4.6% below its
52-week high of $11.35 and 56.1% above its 52-week low of $6.94.



No load expense structure helps performance. On total assets of $374.33 million, EWM
maintains a low expense ratio compared to its Non-US Equity peers of just 0.54% to cover all
operating costs. Brokerage costs for the fund to buy and sell shares are not included in the
expense ratio. As EWM is an exchange traded fund, it has no front end or back end load.



Manager tenure and performance record are net positives. Substandard fund managers tend to
be replaced, so a long tenure is usually a good sign that a fund is achieving its objectives. The
iShares MSCI Malaysia has been managed by S. Jane Leung / Patrick O' Connor for the last 11
years. Over that period, the manager was able to capture more actual gains in excess of the
expected return than 52% of other fund managers.
👍️0
frenchee frenchee 18 년 전
Looking to short this ETF based on the pending crossing of the Force Indicator shown in the ibox chart.
👍️0

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