iShares Morningstar Mid-Cap ETF
Ticker
IMCB
ISIN
US464288208
Price
USD 79.15
Change Today
-0.67 / -0.839 %
Price 1 year ago
58.43 / 35.455 %
Morningstar
4
52 Week Low
60.11
52 Week High
80.41
200 Day Moving Average 71.71
71.71
50-day Moving Average
76.12
Price evolution
Yearly returns
Peers comparison
Risk factors
1 year
Parameter | Value |
---|---|
Sharpe Ratio | 1.74 |
Sortino Ratio | 0.72 |
Maximum Drawdown | -2.68% |
Maximum Drawdown Date | 2024-01-04 |
Calmar Ratio | -22.74 |
1 year
Parameter | Value |
---|---|
Return | 2.89 |
Volatility | 5.002% |
Alpha | +6.25 |
Beta | None |
R Squared | +97.04 |
History
Parameter | Value |
---|---|
Average Annual Return | 11.955% |
Average Annual Volatility | 20.865% |
Sharpe Ratio | 0.57 |
Sortino Ratio | 0.55 |
Maximum Drawdown | -59.0% |
Maximum Drawdown Date | 2009-03-09 |
Calmar Ratio | -0.20 |
Company information
Summary
The investment seeks to track the investment results of the Morningstar® US Mid Cap IndexSM composed of mid-capitalization U.S. equities. The fund generally will invest at least 80% of its assets in the component securities of its underlying index and in investments that have economic characteristics that are substantially identical to the component securities of its underlying index. The underlying index measures the performance of U.S. stocks issued by mid-capitalization companies that have exhibited both “growth” and “value” characteristics as determined by Morningstar, Inc.’s (“Morningstar” or the “index provider”) proprietary index methodology.
Market
US
Category
Mid-Cap Blend
Expense Ratio
0.04%
Fund family
iShares
Morningstar
4
Yield
0.0166
Exchange
PCX
Sector | Weight |
---|---|
Technology | 15.57% |
Industrials | 13.57% |
Financial services | 13.56% |
Healthcare | 11.19% |
Consumer cyclical | 10.65% |
Realestate | 9.66% |
Energy | 5.28% |
Utilities | 5.10% |
Consumer defensive | 4.72% |
Basic materials | 4.51% |
Communication services | 3.80% |
Country | Ratio |
---|---|
United States | 98.63 |
Switzerland | 0.41 |
United Kingdom | 0.39 |
Singapore | 0.26 |
South Korea | 0.21 |
India | 0.10 |
Argentina | 0.00 |
Australia | 0.00 |
Austria | 0.00 |
Belgium | 0.00 |
Holdings
Symbol | Name | Allocation |
---|---|---|
DXCM | DexCom Inc | 0.57% |
MRVL | Marvell Technology Inc | 0.56% |
CDNS | Cadence Design Systems Inc | 0.47% |
RMD | ResMed Inc | 0.45% |
PANW | Palo Alto Networks Inc | 0.44% |
YUM | Yum Brands Inc | 0.44% |
DFS | Discover Financial Services | 0.43% |
IFF | International Flavors & Fragrances Inc | 0.43% |
MSI | Motorola Solutions Inc | 0.43% |
SBAC | SBA Communications Corp | 0.42% |
Alternative funds
Ticker | Name | Isin | Exchange | Expenses | Morningstar | Alpha | Beta |
---|---|---|---|---|---|---|---|
FDL | First Trust Morningstar Dividend Leaders Index Fund | US336917109 | PCX | 0.45% | 4 | +14.60 | |
ILCG | iShares Morningstar Growth ETF | US4642871192 | PCX | 0.04% | 4 | -8.96 | |
IMCB | iShares Morningstar Mid-Cap ETF | US464288208 | PCX | 0.04% | 4 | +6.25 | |
IMCG | iShares Morningstar Mid-Cap Growth ETF | US4642883072 | PCX | 0.06% | 4 | +0.43 | |
MOAT | VanEck Morningstar Wide Moat ETF | IE00BL0BMZ8 | BTS | 0.46% | 5 | +8.36 | |
MOAT.L | VanEck Morningstar US Sustainable Wide Moat UCITS ETF | IE00BQQP9H0 | LSE | 0.49% | 4 | +2.67 | |
MOGB.L | VanEck Morningstar US Sustainable Wide Moat UCITS ETF | IE00BQQP9H0 | LSE | 0.49% | 4 | +2.67 | |
MOTG | VanEck Morningstar Global Wide Moat ETF | IE00BL0BMZ8 | BTS | 0.52% | 4 | +5.18 | -- |
TDGB.L | VanEck Morningstar Developed Markets Dividend Leaders UCITS ETF | NL001168359 | LSE | 0.38% | 4 | ||
TDIV.AS | VanEck Morningstar Developed Markets Dividend Leaders UCITS ETF | NL0011683594 | AMS | 0.38% | 4 | +11.29 | |
TDIV.L | VanEck Morningstar Developed Markets Dividend Leaders UCITS ETF | NL001168359 | LSE | 0.38% | 4 | ||
TECH.AX | Global X Morningstar Global Technology ETF | LU039722194 | 0.45% | 5 | |||
TLTD | FlexShares Morningstar Developed Markets ex-US Factor Tilt Index Fund | US33939L100 | PCX | 0.39% | 4 | +2.96 |
Sustainability scores
Events
Indicators
Glossary
- Momentum
- A technical indicator that measures the rate of change in price movements over a specific period. It indicates the strength or weakness of a price trend.
Assessment: A positive momentum value generally indicates a good trend, while a negative value suggests a weak or downward trend.
- Inertia
- In trading, inertia refers to the tendency of prices to continue moving in their current direction. It suggests that an asset's price will likely maintain its current trend.
Assessment: A higher inertia value is generally considered good, as it indicates a strong and sustained price trend.
- Relative Strength Index (RSI)
- A momentum oscillator that measures the speed and change of price movements. It helps identify overbought or oversold conditions in an asset.
Assessment: An RSI value above 70 is typically considered overbought and may suggest a potential reversal or correction. Conversely, an RSI value below 30 is often considered oversold, indicating a possible upward price correction.
- Fibonacci's Weighted Moving Average
- A technical indicator that assigns different weights to recent data points, giving more significance to recent prices. It helps smooth out price fluctuations and identify trend reversals.
Assessment: The interpretation of the Fibonacci's Weighted Moving Average value depends on its comparison to other moving averages or trendlines. A value above 50 may indicate an uptrend, while a value below 50 may suggest a downtrend.
- Williams %R
- A momentum indicator that measures overbought or oversold conditions in an asset. It shows the relationship of the current closing price to the high-low range over a specified period.
Assessment: Williams %R values above -20 are typically considered overbought and may indicate a potential price reversal. Values below -80 are often viewed as oversold, suggesting a potential price bounce.
- Relative Volatility Index (RVI)
- A technical indicator that measures the volatility of a security by comparing the magnitude of recent price movements to the magnitude of average price changes. It helps identify periods of high or low volatility.
Assessment: A higher RVI value suggests higher volatility, which can provide trading opportunities but also carries increased risk.
- Commodity Channel Index (CCI)
- A versatile indicator that measures the current price level relative to an average price level over a given period. It helps identify overbought or oversold conditions and potential trend reversals.
Assessment: CCI values above 100 are often considered overbought, indicating a potential price correction or reversal. Values below -100 are typically viewed as oversold, suggesting a potential price rebound.