SPDR MSCI ACWI ex-US is an open-end management investment company. The SPDR MSCI ACWI ex-US ETF (the “Fund”) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index based upon broad based world (ex-U.S.) equity markets. In seeking this objective, the Fund uses a sampling strategy. As of Sept 30 2015, the Fund's total assets were $715,311,358 and the Fund's investment portfolio was valued at $748,231,561. The CWI stock yearly return is shown above.
The yearly return on the CWI stock yearly return page and across the coverage universe of our site,
is a measure of the annual return over the calendar year 2020 for the given stock.
When performing this calculation it is important to factor in dividends, because a financial instrument's annual return is
more than just the change in price if that instrument pays a dividend or coupon.
One way to factor dividends into the return is simply to count them as cash — we don't do
that here. Instead, our website aims to empower investors
by performing the CWI annual return calculation with any dividends reinvested as applicable (on ex-dates).
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