iShares FTSE 250 UCITS ETF GBP (Dist)
MIDD.L
✗ NOT COMPLIANT
☆ Track — members
Last Close
$31.21
▼ -0.02%
Key Metrics
NAV
$31.24
Net asset value
Expense Ratio
N/A
Annual (TER)
Net Assets
$867.36M
Fund AUM
Premium / Disc.
-0.10%
Price vs NAV
Dividend
$0.23
Latest distribution
RSI (14)
83.27
Momentum
Beta
1.23
vs Market
52W High
$31.38
0.54% below
52W Low
$25.76
23.21% above
Volume
235.13K
Avg 467.89K
Rel. Volume
0.50x
vs 30D avg
Volatility (30D)
10.15
30-day
Historical Returns
5D
+0.11%
1M
+6.61%
3M
+8.56%
6M
+6.34%
YTD
+11.21%
1Y
+13.70%
3Y
+40.17%
5Y
+2.35%
Fund Details
| Fund Type | ETF |
| Expense Ratio (TER) | N/A |
| Total Net Assets | $867.36M |
| NAV | $31.24 |
| Market Price | $31.21 |
| Premium / Discount | -0.10% |
| Last Dividend | $0.23 |
| Ex-Dividend Date | Jun 18, 2026 |
| Beta | 1.23 |
| Volatility (30D) | 10.15 |
| 52-Week High | $31.38 |
| 52-Week Low | $25.76 |
Technical Indicators
| 50-Day SMA | $29.66 |
| 200-Day SMA | $28.62 |
| RSI (14) | 83.27 |
| Beta | 1.23 |
| 52-Week High | $31.38 |
| 52-Week Low | $25.76 |
| Volume Today | 235.13K |
| Avg Daily Volume (30D) | 467.89K |
| Relative Volume | 0.50x |
| Volatility (10D) | 7.21 |
| Volatility (30D) | 10.15 |
| % Below 52W High | 0.54% |
