MSCI EM ETF (IEMG)
68.37
-2.37 (-3.35%)
NYSE · Last Trade: Mar 22nd, 8:03 AM EDT
Detailed Quote
| Previous Close | 70.74 |
|---|---|
| Open | 70.03 |
| Day's Range | 68.16 - 70.11 |
| 52 Week Range | 47.29 - 77.68 |
| Volume | 17,309,814 |
| Market Cap | 1.11B |
| Dividend & Yield | 2.278 (3.33%) |
| 1 Month Average Volume | 21,249,789 |
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News & Press Releases
The financial landscape of 2026 is witnessing a profound shift in global capital as the "Emerging Markets Breakout" transitions from a technical signal to a full-blown market regime. For the first time in over fifteen years, the MSCI Emerging Markets Index has decisively cleared long-standing resistance levels, marking what analysts
Via MarketMinute · March 4, 2026

Key differences in cost, sector mix, and global reach shape how these ETFs fit into an international diversification strategy.
Via The Motley Fool · February 23, 2026
International stocks have clearly demonstrated over the past year why they belong in your portfolio.
Via The Motley Fool · February 20, 2026
Emerging markets are roaring. If you want to get in, let's compare the Vanguard FTSE Emerging Markets ETF against its biggest competitors.
Via The Motley Fool · February 17, 2026

Explore how differences in scale, holdings, and structure may impact your choice between these two emerging markets ETFs.
Via The Motley Fool · February 13, 2026

Whether it's growth stocks with high potential or a broader basket of international stocks, IEMG and IXUS both offer different approaches to international stock exposure.
Via The Motley Fool · February 8, 2026

Discover how NZAC's climate-change criteria make it stand out among other global ETFs, including one of the biggest in IEMG.
Via The Motley Fool · February 8, 2026

IEMG is an ETF crafted for the future, focusing on developing markets. But how does it compare to a global giant fund like SPGM?
Via The Motley Fool · February 8, 2026

Both of these ETFs focus on the international market, but offer different strategies to take your portfolio around the world.
Via The Motley Fool · February 8, 2026

Explore how these two low-cost ETFs differ in risk, diversification, and income potential for global equity investors.
Via The Motley Fool · February 8, 2026

Explore how IEFA’s developed-market focus and cost structure stack up against IEMG’s emerging-market exposure and sector mix.
Via The Motley Fool · February 7, 2026

Explore how differences in market coverage, sector focus, and risk profile set these two international ETFs apart for investors.
Via The Motley Fool · February 7, 2026

From climate-focused screening to sheer market breadth, IEMG and NZAC take distinct paths to global diversification.
Via The Motley Fool · February 6, 2026
Explore how ACWX and IEMG differ in market coverage, risk profiles, and income potential for globally minded investors.
Via The Motley Fool · January 24, 2026
Explore how differences in fund size, diversification, and costs may influence your choice between these two emerging markets ETFs.
Via The Motley Fool · December 23, 2025
Subtle differences in cost, holdings, and risk profiles set these two emerging markets ETFs apart for globally minded investors.
Via The Motley Fool · December 21, 2025
History suggests that we might be in the very early stages of a major shift in the global equity markets.
Via The Motley Fool · December 21, 2025
BRICS+ now has a larger share of world GDP than G7. BRICS+ GDP, measured in PPP, is $75.6 trillion vs. G7's $56.6 trillion.
Via Benzinga · November 18, 2025
Via Benzinga · September 16, 2025
MSCI will roll out a rejig of its ACWI and Emerging Markets indexes, adding 42 and removing 56 securities. ETFs linked to these indexes may experience temporary spikes in trading volumes.
Via Benzinga · August 13, 2025
IEMG ETF sees $7.4B in 2025 inflows as investors chase cheaper valuations, currency upside, and stimulus-fueled growth in emerging markets.
Via Benzinga · July 8, 2025
Via Benzinga · July 3, 2025
On Tues, U.S. markets closed mixed w/ S&P 500 & Nasdaq down due to large-cap tech stocks, while Dow gained. Volatility high, data supported Fed's stance. Asia markets vary, Europe up, commodities steady, U.S. futures and dollar index rise.
Via Benzinga · July 2, 2025
U.S. markets up on trade deals and rate cut hopes, but concerns persist. Mixed economic data, Central bank expectations, and geopolitical risks affect performance. Asia and Europe markets mostly lower, commodities mixed, USD weak on trade uncertainty.
Via Benzinga · July 1, 2025