ISINIE000QOU09J7
Fund NameiShares China Large Cap UCITS ETF USD (Acc)
ETF TypeETF
CountryEurope
Umbrella EntityiShares Public Limited Company
LEI549300YDM1GFZR5B4U80
Ticker SymbolFXAC (EUR) - Euronext Amsterdam
Related ETFsiShares China Large Cap UCITS USD (Dist)

iShares China Large Cap UCITS ETF USD (Acc)

iShares China Large Cap UCITS ETF USD (Acc) is an Equity ETF domiciled in Ireland with an ISIN of IE000QOU09J7. The ETF is a fund of iShares Public Limited Company managed by BlackRock Asset Management Ireland Limited. The Equity is USD currency-based and adopts a Replicated approach of tracking the FTSE China 50 Index index. The ETF structure is based on Physical assets. Income received by the ETF eg dividend follows an Accumulating strategy. The ETF fund custodian is The Bank of New York Mellon SA/NV, Dublin Branch, and the administrator is BNY Mellon Fund Services (Ireland) Designated Activity Company. The primary ticker for the ETF is FXAC.

This ETF remained unchanged recently.

Based on recent adjusted close prices. Past performance is not indicative of future results.

Discover detailed technical analysis, including moving averages, RSI, and more for iShares China Large Cap UCITS ETF USD (Acc).

Analyze FXAC.AS Trends Now

IE000QOU09J7 Holdings on 2026-01-28 (Wednesday)

ETF trades on 2026-01-28


ETF TickerAdjusted Close PriceOpening Price to Prev CloseNAVNAV Discount / PremiumComment
FXAC.ASEUR 4.464Price increase1.7%EUR 4.490Open price increase2.3% USD 5.39 (EUR 4.49)NAV increase2.5%0.47%
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Values based on adjusted close price on 2026-01-28



IE000QOU09J7 Holdings on 2026-01-27 (Tuesday)

ETF trades on 2026-01-27


ETF TickerAdjusted Close PriceOpening Price to Prev CloseNAVNAV Discount / PremiumComment
FXAC.ASEUR 4.390Price increase0.3%EUR 4.425Open price increase1.1% USD 5.26 (EUR 4.43)NAV increase1.2%0.87%
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Values based on adjusted close price on 2026-01-27



Detail on historic holdings of IE000QOU09J7

Shares Issued in FXAC

DateShares IssuedNum New FXAC SharesNAVMarket value of new FXAC shares issuedValue of shares added to portfolio holdingsCash or Equivalent
2026-01-288,073,9150 @ EUR 4.464USD 5.39EUR 0 (USD 0)USD 4,797,363HKD   1,506,584
USD   368,288
HKD-BZFUT   354,055
GBP   143,904
EUR   5,020
EUR-ETD_EUR   -5
USD-RFCG6   2,161,370
2026-01-278,073,91550,000 @ EUR 4.390USD 5.26EUR 219,515 (USD 260,707)USD 0HKD   6,394,845
HKD-BZFUT   354,125
USD   200,191
GBP   143,497
EUR   5,023
EUR-ETD_EUR   -5
USD-RFCG6   6,966,720
2026-01-268,023,91564,586 @ EUR 4.378USD 5.2EUR 282,783 (USD 335,339)USD 0HKD   6,381,107
HKD-BZFUT   369,335
USD   196,489
GBP   143,038
EUR   5,000
EUR-ETD_EUR   -5
USD-RFCG6   6,896,640
2026-01-237,959,3290 @ EUR 4.410USD 5.19EUR 0 (USD 0)USD 0HKD   6,812,796
HKD-BZFUT   369,297
GBP   141,541
EUR   4,941
USD-HKD   69
EUR-ETD_EUR   -5
USD-RFCF6   7,135,145
USD   -208,245
2026-01-227,959,32954,279 @ EUR 4.453USD 5.17EUR 241,694 (USD 282,129)USD 0HKD   6,807,085
HKD-BZFUT   375,882
GBP   140,648
EUR   4,931
EUR-ETD_EUR   -5
USD-HKD   -3
USD-RFCF6   7,107,285
USD   -213,786
2026-01-217,905,0500 @ EUR 4.439USD 5.18EUR 0 (USD 0)USD 0HKD   6,807,216
HKD-BZFUT   375,890
GBP   140,116
EUR   4,918
EUR-ETD_EUR   -5
USD-RFCF6   7,113,255
USD   -185,328
2026-01-207,905,05065,390 @ EUR 4.401USD 5.17EUR 287,794 (USD 334,967)USD 0HKD   6,806,431
HKD-BZFUT   375,846
GBP   140,435
EUR   4,929
EUR-ETD_EUR   -5
USD-RFCF6   7,104,300
USD   -171,858
2026-01-197,839,66083,278 @ EUR 4.459USD 5.18EUR 371,353 (USD 431,694)USD 0HKD   6,803,251
HKD-BZFUT   380,408
GBP   140,054
EUR   4,892
EUR-ETD_EUR   -5
USD-RFCF6   7,123,205
USD   -32,334
2026-01-167,756,38229,000 @ EUR 4.454USD 5.22EUR 129,175 (USD 0)USD 0HKD   6,801,070
HKD-BZFUT   380,286
GBP   139,626
USD   26,233
EUR   4,873
EUR-ETD_EUR   -5
USD-RFCF6   7,175,940
USD-ETD_USD   -35,820
2026-01-157,727,38222,204 @ EUR 4.558USD 5.25EUR 101,199 (USD 117,860)USD 0HKD   6,806,149
HKD-BZFUT   377,049
GBP   139,678
USD   49,144
EUR   4,876
EUR-ETD_EUR   -5
USD-RFCF6   7,211,760
EUR1,633,513USD 4,797,363
The number of shares issued is based on the difference from the current number of shares and the last previous known number of shares and may not be the value of new issue shares on the date. Value of added shares to portfolio is based on adjusted close price x the number of new shares and may not be the price they were purchased at. The value of new ETF shares issued is based on the adjusted close price of the ETF - this may not be the actual price the new issues were sold for. Cash is made up of cash deposits or equivalent eg liquidity Dollars which are part of the holdings

Recent events of FXAC.AS

DateEvent
2026-01-2750,000 shares issued in FXAC (IE000QOU09J7) @ EUR 4.3902997970581
2026-01-2664,586 shares issued in FXAC (IE000QOU09J7) @ EUR 4.378399848938
2026-01-2254,279 shares issued in FXAC (IE000QOU09J7) @ EUR 4.4527997970581
2026-01-2065,390 shares issued in FXAC (IE000QOU09J7) @ EUR 4.4011998176575
2026-01-1983,278 shares issued in FXAC (IE000QOU09J7) @ EUR 4.4591999053955
2026-01-1629,000 shares issued in FXAC (IE000QOU09J7) @ EUR 4.4542999267578
2026-01-1522,204 shares issued in FXAC (IE000QOU09J7) @ EUR 4.5577001571655
2026-01-1466,959 shares issued in FXAC (IE000QOU09J7) @ EUR 4.5317001342773
2026-01-09165,000 shares issued in FXAC (IE000QOU09J7) @ EUR 4.4507999420166
2026-01-026818.HK: Re-acquired 2,859,000 shares (from 0 on 2026-01-01)

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