iShares MSCI Emerging Markets Value Index Fund (EVAL)

$36.84 0 ( +0%)
Volume:
Date: 8:42 EDT

Performance

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Annualized Return %  

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1 Week
1 Month
3 Months
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YTD
1 Year
3 Years
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10 Years

Total Annual Return %  

Symbol
2024
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2022
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2020
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2015

Key Statistics

Name Value
Day's Open ($) 36.84
Day's Range ($) 36.84 - 36.84
Day's Volume
52-Week Range ($) 36.1001 - 53.24
Beta -
Volatility -
14-Day RSI -
14-Day ATR ($) -
20-Day SMA ($) -

Fundamental Data

Name Value
Market Cap (Mil $) 20.262
Shares Outstanding (Mil) -
PE Ratio -
PE Ratio (10y Range) 10.1 - 10.1
PE Ratio (10y Median) 10.1
PB Ratio -
PB Ratio (10y Range) 1.11 - 1.11
PB Ratio (10y Median) 1.11

Dividend Data

Name Value
Dividends per Share (TTM) ($) -
Dividend Yield % -
Dividend Yield % (10y Range) 3.32 - 3.32
Dividend Yield % (10y Median) 3.32
Next Dividend Payment Date
Dividend Frequency -

EVAL iShares MSCI Emerging Markets Value Index Fund Fundamental Charts

Historical TTM Price-to-Earnings for EVAL iShares MSCI Emerging Markets Value Index Fund

Historical TTM Price-to-Earnings without NRI for EVAL iShares MSCI Emerging Markets Value Index Fund

Historical Price-to-Book Ratio for EVAL iShares MSCI Emerging Markets Value Index Fund

Historical Dividend Yields for EVAL iShares MSCI Emerging Markets Value Index Fund

EVAL iShares MSCI Emerging Markets Value Index Fund Technical Indicators

Moving Average

Momentum

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