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38.61 Down -1.23 -3.08%
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QUICK STATS
Latest price 38.61 Change -1.23
Net assets 34.88 Bil % Change -3.08%
YTD -9.50 %
Category Diversified Emerging Mkts
Fund family name iShares
Index tracked MSCI EAFE NR USD
Inception date 04/07/2003
Turnover ratio +15.00 %
Detailed quote Last price update 6/19/2013 4:00 PM ET ET

OVERVIEW
The investment seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Emerging Markets Index (the "underlying index"). The fund generally invests at least 90% of its assets in the securities of its underlying index and in depositary receipts representing securities in its underlying index. The underlying index is designed to measure equity market performance in the global emerging markets. The fund invests all of its assets that are invested in India in a wholly owned subsidiary located in the Republic of Mauritius (the "Subsidiary").
MORNINGSTAR STYLE BOX
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Style Box for Stock Holdings
Size = Large & Investment Valuation = Blend Size = Large & Investment Valuation = Blend
Size = Large & Investment Valuation = Blend
ANNUAL RETURNS
2010 2011 2012
MKT NA NA NA
NAV 15.93 -18.87 17.32
View additional performance information
MODERN PORTFOLIO THEORY STATISTICS
MEASUREMENT STANDARD INDEX
MSCI EAFE NR USD
R-Squared (1-year) 77.2
Beta (1-year) 1
Alpha (1-year) -5.26
DATA PROVIDERS

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Fundamental company data and historical chart data provided by Morningstar Inc. Real-time index quotes and delayed quotes supplied by Morningstar Inc. Quotes delayed by up to 15 minutes, except where indicated otherwise. Fund summary, fund performance and dividend data provided by Morningstar Inc. Analyst recommendations provided by Zacks Investment Research. StockScouter data provided by Verus Analytics. IPO data provided by Hoover's Inc. Index membership data provided by Morningstar Inc.

ASSET ALLOCATION
Prospectus Objectives Diversified Emerging Mkts
FEES AND EXPENSES
Expense Ratio 0.68%
Gross Expense Ratio 0.69%
Net Expense Ratio 0.69%
Management Fee 0.75%
VOLATILITY MEASURES
1-year standard deviation 20.73
Mean 0.57
1-Year Treynor ratio 20.02
3-year Sharpe ratio 0.33