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EWMvsSPMD

iShares MSCI Malaysia ETF against SPDR Portfolio S&P 400 Mid Cap ETF — the fee, the flows, the book, and a year head-to-head.

One year, growth of $100
EWM 104SPMD 111Oct 25Oct 26GROWTH OF $100
Head to head
EWMSPMD
Expense ratio0.50%0.030%
Assets$285M$18.1B
Net flow, 1 month−$22M+$200M
Net flow, 1 year+$28M+$2.1B
Return, YTD-1.1%+11.0%
Return, 1 year+3.3%+11.6%
Avg daily volume161K1.6M
Holdings39401
ListedMar 12, 1996Nov 8, 2005
Options marketYesYes

MARKED CELLS LEAD ON THAT LINE · LOWER FEE, LARGER ASSETS, STRONGER FLOWS & RETURNS

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