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Хлебные крошки

Акции внутренные

Лого

SPDR Portfolio Emerging Markets ETF SPEM

$33.64

-$0.4 (-1.20%)
На 18:00, 12 мая 2023

Ключевые показатели

  • Marketcap

    2611967728.00000000

  • week52high

    37.09

  • week52low

    29.80

  • Revenue

  • P/E TTM

  • Beta

    0.00000000

  • EPS

    2.97306440

  • Last Dividend

    1.11300000

  • Next Earnings Date

    07 мая 2023 г. в 01:11

Описание компании

The fund generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index and in depositary receipts based on securities comprising the index. The index is a float-adjusted market capitalization weighted index designed to define and measure the investable universe of publicly traded companies domiciled in emerging markets.

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Анонимное голосование

Будет ли рост российского рынка к концу года?

  • Да

    87%
  • Нет

    12%

Проголосовал 8 человек

Новостная лента
компании

Новостная лента

  • Изображение

    SPDR Emerging Markets ETF: The Peak Of The U.S. Dollar Is A Bullish Signal

    Seeking Alpha

    13 февр 2023 г. в 17:00

    A falling U.S dollar will alleviate the domestic inflationary pressures affecting emerging markets. The re-opening of China following COVID-19 lockdowns will be a boost for the portfolio.

  • Изображение

    Emerging Markets Equities: Positioned For A Rebound?

    Seeking Alpha

    12 янв 2023 г. в 13:03

    In an economic downturn, higher-growth EM stocks that have derated and have strong and stable earnings could outperform, in our opinion. In China, we are cautiously positive on possible policy changes ahead and early signs of a roadmap out of zero-COVID.

  • Изображение

    SPEM: Robust, Well-Diversified Emerging Market Portfolio Offering A Decent Yield

    Seeking Alpha

    25 ноя 2022 г. в 11:34

    SPEM's portfolio is well-diversified globally and across a huge number of stocks. The fund has invested in the right markets and the right sectors. SPEM's portfolio is less risky due to its high level of diversification, low expense ratio, lower volatility, and investment in growing but credible economies.