Key stats
About ISHARES MSCI PACIFIC EX-JAPAN ESG ENHANCED UCITS ETF USD (ACC)
Home page
Inception date
Dec 8, 2021
Structure
Irish VCIC
Replication method
Physical
Dividend treatment
Capitalizes
Primary advisor
BlackRock Asset Management Ireland Ltd.
ISIN
IE00BMDBMK72
The investment objective of the Fund is to seek to provide investors with a total return, taking into account both capital and income returns, which reflects the return of the MSCI Pacific ex-Japan ESG Enhanced Focus CTB Index.
Classification
Returns
1 month | 3 months | Year to date | 1 year | 3 years | 5 years | |
---|---|---|---|---|---|---|
Price performance | — | — | — | — | — | — |
NAV total return | — | — | — | — | — | — |
Dividends
Dividend payout history
Assets under management (AUM)
Fund Flows
Frequently Asked Questions
PCEL assets under management is 95.35 M USD. It's risen 10.33% over the last month.
PCEL fund flows account for 4.09 M USD (1 year). Many traders use this metric to get insight into investors' sentiment and evaluate whether it's time to buy or sell the fund.
No, PCEL doesn't pay dividends to its holders.
PCEL shares are issued by BlackRock, Inc. under the brand iShares. The ETF was launched on Dec 8, 2021, and its management style is Passive.
PCEL expense ratio is 0.20% meaning you'd have to pay 0.20% of your investment to help manage the fund.
PCEL follows the MSCI Pacific ex-Japan ESG Enhanced Focus CTB Index. ETFs usually track some benchmark seeking to replicate its performance and guide asset selection and objectives.
PCEL price has risen by 1.67% over the last month, and its yearly performance shows a 16.15% increase. See more dynamics on PCEL price chart.
NAV returns, another gauge of an ETF dynamics, have risen by 4.27% over the last month, showed a 12.19% increase in three-month performance and has increased by 18.90% in a year.
NAV returns, another gauge of an ETF dynamics, have risen by 4.27% over the last month, showed a 12.19% increase in three-month performance and has increased by 18.90% in a year.
PCEL trades at a premium (0.36%) meaning the ETF is trading at a higher price than the calculated NAV.