Fund Name: |
iShares MSCI Turkey ETF |
Issuer: |
iShares |
Total Net Assets: |
$242,367,794 |
Inception: |
NA |
Related Index: |
MSCI Turkey Investable Market Index |
ETF Category: |
Middle East |
Expense Ratio: |
0.59% |
|
Net Asset Value: |
$41.43 |
Recent NAV Premium: |
0.00% |
NAV Symbol: |
TUR.NV |
Number of Holdings: |
97 |
Annualized Yield: |
4.01% |
Annualized Distribution: |
1.661 |
TUR Dividend History » |
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