
Mirae Asset Global Investments Co., Ltd.
IE00077FRP95
GX SUPERDIVIDEND UCITS-D
Last price
Last updated 28 May 2026, 14:02
Today's range
£7.58
£7.62
52-week range
£6.46
£8.05
1M
▼1.68%
1Y
▲17.82%
Assets Under Management
£647.1m
Total fund capitalization
Total Expense Ratio
0.00%
Annual management fee
Exchange
XLON
Listing venue
Currency
GBP
Trading currency
Allocation
Top geographies
United States
37.66%
Brazil
17.11%
China
6.69%
United Kingdom
6.41%
Norway
5.77%
Indonesia
3.55%
Top sectors
Sectors
Other
37.68%
Energy
18.28%
Industrials
13.46%
Finance
8.71%
Consumer cyclicals
6.23%
Telecommunications
5.79%
Consumer non cyclicals
3.25%
Non energy materials
2.82%
Technology
2.76%
Utilities
1.03%
Fund Details
Trading Information
Settlement Period
T+2
Avg. Bid-Offer Spread
0.13%
Type of Trading
Quantity
Position Type
Long
Min. Initial Quantity
1
Issuer Information
Issuer
Mirae Asset Global Investments Co., Ltd.
Country
IE
Documents & Resources
Key Investor Information Document (KIID)
Essential information for investors