
CIE - International Fundamental Index Fund
Quote
Historical Prices|
Market Price as of 17-May-2013 |
NAV as of 17-May-2013 |
|
|---|---|---|
| Close | $14.57 | $14.46 |
| Change | $0.24 1.67% | $0.12 0.87% |
| 52-week Range | 10.83 - 14.57 | 10.85 - 14.46 |
Top Daily Holdings*
as of 17-May-2013
View all holdings
| Holding | % of Fund |
|---|---|
| TOYOTA MOTOR CORP. | 1.04% |
| NESTLE S.A. | 0.84% |
| MITSUBISHI UFJ FINANCIAL GROUP INC | 0.81% |
| TOTAL S.A. | 0.79% |
| BP PLC | 0.77% |
| NOVARTIS AG | 0.71% |
| BANCO SANTANDER SA | 0.67% |
| HSBC HOLDINGS PLC | 0.67% |
| TOKYO ELECTRIC POWER CO. INC. | 0.66% |
| VODAFONE GROUP PLC | 0.63% |
| Total: | 7.59% |
Sector Breakdown
as of 17-May-2013
View all holdings
|
Sector % of Fund |
Sector % of Fund |
|||
|---|---|---|---|---|
|
|
||||
|
Financials
|
20.13% |
Utilities
|
4.65% | |
|
Consumer Goods
|
10.52% |
Telecommunications
|
4.56% | |
|
Industrials
|
10.30% |
Health Care
|
3.77% | |
|
Oil & Gas
|
6.86% |
Technology
|
2.12% | |
|
Basic Materials
|
5.49% |
Other/Undefined
|
26.33% | |
|
Consumer Services
|
5.27% | |||
Top Countries
as of 17-May-2013
| Country | % of Fund | Country | % of Fund |
|---|---|---|---|
|
Japan |
22.52% |
Switzerland |
4.85% |
|
United Kingdom |
6.59% |
Germany |
4.77% |
|
Canada |
6.01% |
Korea (South) |
3.00% |
|
France |
5.90% |
Italy |
2.46% |
|
Australia |
5.33% |
Netherlands |
2.39% |
Yield
as of 17-May-2013
View all distributions
| % of Yield | |
|---|---|
| Distribution Yield | 1.99% |
| 12-Month Trailing Yield | 2.36% |
Fundamentals & Risk as of 17-May-2013
| Price to Earnings Ratio | 14.50 |
| Price to Book Ratio | 1.30 |
Profile
as of 17-May-2013| Assets Under Management | $174,983,571 |
| Fiscal Year End | 31-Dec-2012 |
| Units Outstanding | 12,100,000 |
| Number of Holdings | 1,017 |
| Inception Date | 13-Feb-2007 |
| Index Provider | FTSE RAFI |
| Underlying Index | FTSE RAFI Developed ex US 1000 Index |
Fees & Expenses
| Management Fee | 0.65% | |
| Management Expense Ratio (MER) | 0.73% | |
Distribution Information as of 17-May-2013
| Program Eligibility* | DRIP / PACC / SWP |
| Eligible for Registered Plans | Yes** |
| Distribution Frequency | Quarterly |
| Last Distribution per Share | $0.07200 |
| Distribution Yield | 1.99% |
| DRIP Price | $13.25 |
| Last Date Paid | 28-Mar-2013 |
**Investors should consult their plan operator to verify whether their specific account supports investments in iShares ETFs.
Trading Information
| Ticker | CIE |
| Underlying Index | FTSE RAFI Developed ex US 1000 Index |
| Exchange | Toronto Stock Exchange |
| CUSIP | 46432Y205 |
| Listed Options | N |

