BLDRS Europe Select ADR Index Fund ADRU:NASDAQ (Exchange Traded Fund)

LastDaily Change / % ChangeVolumeAvg Volume (10 day)Morningstar CategoryAsset Class
23.98 0.10   0.42%4,5037.7KEurope StockInternational Equity
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Performance data quoted represents past performance which is not a guarantee of future results. The investment return and principal value of an investment will fluctuate and may be worth more or less than its original cost. Performance data current to the most recent month-end is available by selecting the performance tab.
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Previous close 1/17/2018

Strategy for BLDRS Europe Select ADR Index Fund

The investment seeks to provide investment results that correspond generally- before fees and expenses- to the price and yield performance of the Bank of New York Mellon Europe Select ADR Index. The fund typically invests substantially all of its assets in the securities that make up the index. The index is intended to give investors a benchmark for tracking the price and yield performance of European Depositary Receipts. the fund is non-diversified.

Top 5 equities held by fund
Company% of Hldgs% Short% LongPriceChg
Percent of all holdings:24.85% 
Compare these holdings together
Novartis AG ADR
0% Short
6.29088% Long
0% Short
5.95098% Long
British American Tobacco PLC ADR
0% Short
4.32939% Long
Royal Dutch Shell PLC ADR Class A
0% Short
4.29491% Long
Total SA ADR
0% Short
3.98823% Long

collapse, right-facing arrow indicating collapsed view of sectionOverview

A table providing an overview of the fund
Bid | Size-- | --
Ask | Size-- | --
Price Open23.97
Previous Close23.98
Day High23.98
Day Low23.87
52 Week High1/17/2018 | 23.98
52 Week Low1/19/2017 | 19.381
% Off 52 Week High0.00%
% Off 52 Week Low23.73%
Market data is delayed by at least 15 minutes.

collapse, right-facing arrow indicating collapsed view of sectionDistributions

Summary data of the distribution of the assets in the fund
Date of Record12/19/2017
Last Distribution0.1180
Pay Date12/29/2017
Short-Term Capital Gain--
Long-Term Capital Gain--
Capital Gain Distribution Date--

collapse, right-facing arrow indicating collapsed view of sectionFund Statistics

A table providing statistics about the fund
Total Net Assets12/31/2017 | 16.0M
Net Asset Value1/17/2018 | 23.93
Premium/Discount1/16/2018 | 0.29%
-- | $23.93
IIV $ Change0.00
IIV % Change0.00%
Inception Date11/13/2002
Gross Expense Ratio0.48
Net Expense Ratio0.30
SEC 30-Day Yield--
Investors should consider the investment objectives, charges, expense, and unique risk profile of an Exchange Traded Fund (ETF) before investing. A prospectus contains this and other information about the fund and may be ordered online or through a Scottrade Branch Office. The prospectus should be read carefully before investing.
Leveraged and Inverse ETFs may not be suitable for long-term investors and may increase exposure to volatility through the use of leverage, short sales of securities, derivatives and other complex investment strategies.
ETFs can entail risks similar to direct stock ownership, including market, sector or industry risks including loss of principal. Some ETFs may involve international risk, currency risk, commodity risk and interest rate risk. The value of the portfolio will fluctuate with the value of the underlying securities.