|
Market Closed -
NYSE
06:00:00 05/09/26 am AEST
|
5-day change | 1st Jan Change | ||
| 75.18 USD | +0.03% |
|
-0.27% | -0.25% |
Description
| US33939L8862 | |
|---|---|
| Total Expense Ratio | 0.0026 |
| Asset Class | Fixed Income |
| Currency | |
| Provider |
Features and characteristics
| Dividend Policy | Distribution |
|---|---|
| Jurisdiction | |
| Date of creation |
09/10/2012
|
| Credit Rating |
AuM evolution - 11/08/2026
| AuM (USD) | 1.73B |
|---|---|
| AuM 1M | 1.73B |
| AuM 3 months | 1.73B |
| AuM 6 months | 1.73B |
| AuM 12 months | 1.73B |
- Stock Market
- ETF
- RAVI ETF
- Components FlexShares Ready Access Variable Income Fund ETF - USD
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