Skip to content

ETFs

The value of shares in the Fund and income received from it can go down as well as up, and investors may not get back the full amount invested. Past performance does not predict future returns.

Performance

Show Performance (%)
As of 31/10/2025
Currency 
USD

As of 14/11/2025

NAV 
$51.33
NAV Change 
-0.73%

$-0.38

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
54.77
Oct-23 / Oct-24 
45.57
Oct-22 / Oct-23 
14.20
Oct-21 / Oct-22 
Oct-20 / Oct-21 
Performance Inception Date 
06/09/2022
Expense Ratio 
0.30%
Currency 
USD

As of 14/11/2025

NAV 
$31.41
NAV Change 
-0.29%

$-0.09

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
10.14
Oct-23 / Oct-24 
13.36
Oct-22 / Oct-23 
7.78
Oct-21 / Oct-22 
Oct-20 / Oct-21 
Performance Inception Date 
27/06/2022
Expense Ratio 
0.35%
Currency 
USD

As of 14/11/2025

NAV 
$34.78
NAV Change 
-1.02%

$-0.36

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
21.63
Oct-23 / Oct-24 
20.82
Oct-22 / Oct-23 
11.83
Oct-21 / Oct-22 
-25.41
Oct-20 / Oct-21 
23.22
Performance Inception Date 
17/10/2017
Expense Ratio 
0.30%
Currency 
EUR

As of 14/11/2025

NAV 
€27.55
NAV Change 
0.00%

€0.00

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
2.80
Oct-23 / Oct-24 
4.57
Oct-22 / Oct-23 
Oct-21 / Oct-22 
Oct-20 / Oct-21 
Performance Inception Date 
24/04/2023
Expense Ratio 
0.15%
Currency 
EUR

As of 14/11/2025

NAV 
€25.81
NAV Change 
0.00%

€0.00

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
2.73
Oct-23 / Oct-24 
4.56
Oct-22 / Oct-23 
2.73
Oct-21 / Oct-22 
-0.65
Oct-20 / Oct-21 
0.73
Performance Inception Date 
25/06/2018
Expense Ratio 
0.15%
Currency 
USD

As of 14/11/2025

NAV 
$30.48
NAV Change 
-1.68%

$-0.52

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
23.83
Oct-23 / Oct-24 
24.90
Oct-22 / Oct-23 
13.35
Oct-21 / Oct-22 
-20.97
Oct-20 / Oct-21 
15.53
Performance Inception Date 
27/09/2018
Expense Ratio 
0.14%

Important Information About the Fund

Currency 
USD

As of 14/11/2025

NAV 
$30.24
NAV Change 
0.60%

$0.18

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
20.55
Oct-23 / Oct-24 
0.69
Oct-22 / Oct-23 
1.22
Oct-21 / Oct-22 
22.44
Oct-20 / Oct-21 
12.81
Performance Inception Date 
04/06/2019
Expense Ratio 
0.19%

Important Information About the Fund

Currency 
USD

As of 14/11/2025

NAV 
$33.90
NAV Change 
-2.16%

$-0.75

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
33.54
Oct-23 / Oct-24 
21.57
Oct-22 / Oct-23 
19.56
Oct-21 / Oct-22 
-47.71
Oct-20 / Oct-21 
-8.35
Performance Inception Date 
04/06/2019
Expense Ratio 
0.19%

Important Information About the Fund

Currency 
USD

As of 14/11/2025

NAV 
$45.26
NAV Change 
-0.04%

$-0.02

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
-0.59
Oct-23 / Oct-24 
30.84
Oct-22 / Oct-23 
6.66
Oct-21 / Oct-22 
-6.95
Oct-20 / Oct-21 
45.24
Performance Inception Date 
25/06/2019
Expense Ratio 
0.19%

Important Information About the Fund

Currency 
USD

As of 14/11/2025

NAV 
$48.26
NAV Change 
-3.69%

$-1.85

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
64.64
Oct-23 / Oct-24 
10.39
Oct-22 / Oct-23 
8.78
Oct-21 / Oct-22 
-34.46
Oct-20 / Oct-21 
26.58
Performance Inception Date 
04/06/2019
Expense Ratio 
0.09%

Important Information About the Fund

Currency 
USD

As of 14/11/2025

NAV 
$40.42
NAV Change 
-2.15%

$-0.89

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
31.84
Oct-23 / Oct-24 
49.65
Oct-22 / Oct-23 
24.81
Oct-21 / Oct-22 
Oct-20 / Oct-21 
Performance Inception Date 
21/03/2022
Expense Ratio 
0.19%
Currency 
USD

As of 14/11/2025

NAV 
$27.70
NAV Change 
-2.15%

$-0.61

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
32.40
Oct-23 / Oct-24 
13.82
Oct-22 / Oct-23 
10.50
Oct-21 / Oct-22 
Oct-20 / Oct-21 
Performance Inception Date 
14/06/2022
Expense Ratio 
0.22%
Currency 
USD

As of 14/11/2025

NAV 
$35.86
NAV Change 
-1.54%

$-0.56

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
25.69
Oct-23 / Oct-24 
24.68
Oct-22 / Oct-23 
Oct-21 / Oct-22 
Oct-20 / Oct-21 
Performance Inception Date 
09/03/2023
Expense Ratio 
0.18%
Currency 
USD

As of 14/11/2025

NAV 
$56.14
NAV Change 
-0.14%

$-0.08

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
19.75
Oct-23 / Oct-24 
40.52
Oct-22 / Oct-23 
12.40
Oct-21 / Oct-22 
-18.83
Oct-20 / Oct-21 
45.65
Performance Inception Date 
29/07/2020
Expense Ratio 
0.07%
Currency 
EUR

As of 14/11/2025

NAV 
€38.55
NAV Change 
-0.82%

€-0.32

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
4.12
Oct-23 / Oct-24 
18.31
Oct-22 / Oct-23 
8.98
Oct-21 / Oct-22 
-12.33
Oct-20 / Oct-21 
38.81
Performance Inception Date 
29/07/2020
Expense Ratio 
0.15%

Important Information About the Fund

Currency 
USD

As of 14/11/2025

NAV 
$66.75
NAV Change 
-0.22%

$-0.15

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
18.25
Oct-23 / Oct-24 
25.76
Oct-22 / Oct-23 
4.80
Oct-21 / Oct-22 
-5.26
Oct-20 / Oct-21 
34.11
Performance Inception Date 
06/09/2017
Expense Ratio 
0.20%
Currency 
USD

As of 14/11/2025

NAV 
$24.44
NAV Change 
-0.20%

$-0.05

Average Annual Total Returns
As of 31/10/2025

Oct-24 / Oct-25 
6.12
Oct-23 / Oct-24 
13.46
Oct-22 / Oct-23 
1.68
Oct-21 / Oct-22 
-19.25
Oct-20 / Oct-21 
1.04
Performance Inception Date 
25/06/2018
Expense Ratio 
0.35%

Fund Identifiers

Ratings