Today were reported iShares MSCI EAFE Index Fund (ETF)’s daily net flows. The ETF registered $-105.99M asset outflows for -0.18% decrease, reaching $59673.96M after yestarday’s trading session. The chart of iShares MSCI EAFE Index Fund (ETF) shows negative short-term setup. In the net flows calculation is not included the performance of the etf but only share redemptions (outflows) and share purchases (inflows). Net outflows leads to less cash for managers to invest, which theoretically decreases demand for the etf’s holdings. The ETF increased 0.71% or $0.42 on September 28, hitting $59.41. It is down 9.84% since February 25, 2016 and is uptrending. It has underperformed by 1.42% the S&P500.
The ETF’s YTD performance is 1.41%, the 1 year is 0.17% and the 3 year is 2.51%.
The ETF’s average P/E ratio is 16.01, the price to book is 1.45, the price to sales is 1 and the price to cashflow is 5.2. iShares MSCI EAFE Index Fund (ETF) is in the ETF category: , is part of the fund family and currently has $ net assets. It was started on 1/1/0001. The fund’s top holdings are: NESTLE SA CHAM ET VE for 2.05% of assets, NOVARTIS AG BASL for 1.42%, ROCHE HLDG AG DIV RT for 1.38%, TOYOTA MOTOR CORP LT for 1.31%, HSBC Holdings PLC for 1.18%, British American Tobacco PLC for 0.93%, Total SA for 0.86%, GlaxoSmithKline PLC for 0.84%, Royal Dutch Shell PLC Class A for 0.84%, BP PLC for 0.84%. The ETF sector weights are: Basic Materials 7.81%, Consumer Cyclical 12.00%, Financial Services 19.20%, Realestate 4.05%, Consumer Defensive 12.73%, Healthcare 11.27%, Utilities 3.56%, Communication Services 5.10%, Energy 4.97%, Industrials 12.76%, Technology 6.55%. The ETF currently as 0% yield.
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