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iShares MSCI Taiwan UCITS ETF

ITWN

Tracks: MSCI Taiwan 20/35 Index (Net) (USD)

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AUM

USD 1.35B

large

TER

0.74%

YTD Return

+67.57%

Currency

USD

Replication

Replicated

Inception

2005-10-28

Dividend

Distributing

Domicile

Ireland

Asset Class

Equity

Classification

Asset ClassEquity
Management StylePassive (Index)
DistributionDistributing
AUM TierLarge ($1–10B)
Geographic FocusSingle Country · Asia Pacific · TW
IndexMSCI Taiwan 20/35 Index (Net) ( )
Currency TreatmentUnhedged
Legal StructureUCITS
UCITS EligibleYes

Equity Details

StyleBlend

The Fund seeks to track the performance of an index composed of companies from Taiwan. <br /><br />On 11/02/2020, the benchmark changed from MSCI Taiwan Index to MSCI Taiwan 20/35 Index. The change will be reflected in the benchmark data.

as of 2026-07-28

2026 (6M)

+67.57%

YTD

+67.57%

30-Day

Monthly Returns

YearJanFebMarAprMayJunJulAugSepOctNovDecAnnual
2026+9.14%+12.31%-12.51%+28.77%+19.71%+1.36%
2025+2.12%-2.49%-10.83%+1.89%+11.96%+7.82%+4.63%-0.19%+7.42%+7.62%-4.45%+4.56%+31.74%
2024-2.19%+4.71%+5.77%-1.97%+5.48%+9.90%-4.25%+3.21%+0.92%+2.62%-4.48%+2.97%+23.92%
2023+11.39%-0.70%+2.59%-3.78%+6.50%+1.53%+1.40%-4.62%-3.50%-2.14%+13.08%+5.52%+28.65%
2022-3.08%-1.85%-2.10%-9.25%+3.09%-13.79%+2.33%-1.14%-15.12%-4.42%+20.50%-5.11%-29.52%
2021+5.07%+5.10%+1.03%+8.67%-1.86%+0.96%-2.09%+3.84%-3.83%+0.30%+2.40%+5.66%+27.47%
2020-4.74%-1.95%-13.58%+14.15%-2.34%+9.00%+13.94%-2.11%+1.67%+1.32%+9.57%+9.92%+35.70%
2019+1.68%+4.68%+2.23%+3.90%-7.84%+5.15%+3.17%-2.29%+4.19%+8.07%+1.48%+7.28%+35.38%
2018+7.53%-3.07%+0.48%-3.91%-0.23%-1.74%+5.08%+0.97%+0.24%-11.81%-0.79%-1.45%-9.55%
2017+4.90%+4.59%+1.69%+2.00%+2.35%+4.00%+2.70%+1.47%-3.41%+6.28%-3.38%+1.12%+26.61%
2016-4.66%+4.03%+8.38%-5.36%+1.67%+4.46%+6.58%+1.78%+2.84%+1.35%-2.36%-1.34%+17.69%
2015+0.98%+3.60%-0.81%+4.46%-0.25%-3.24%-7.36%-8.02%-2.66%+5.48%-3.43%-0.84%-12.35%
2014-3.34%+1.62%+2.73%+1.12%+3.88%+4.80%+0.01%+3.57%-7.08%+2.43%+1.37%-2.25%+8.55%
2013+0.18%+0.31%-0.90%+3.98%-0.14%-2.33%+0.75%-0.45%+2.65%+4.33%-1.61%+1.39%+8.22%
2012+8.90%+7.34%-2.29%-4.23%-5.07%-0.57%+0.71%+2.66%+6.99%-6.19%+7.12%+0.83%+15.72%
2011+3.12%-8.80%+1.64%+6.58%-0.50%-4.40%+0.52%-9.04%-10.66%+6.82%-9.56%+2.91%-21.31%
2010-6.48%-3.77%+6.70%+2.49%-9.82%-2.06%+8.93%-1.53%+10.57%+2.66%+1.49%+12.36%+20.69%
2009-9.98%+3.89%+15.72%+17.33%+15.17%-7.75%+11.68%-2.88%+12.58%-4.16%+3.79%+8.46%+77.71%
2008-10.60%+14.69%+2.47%+4.15%-3.28%-11.40%-6.82%-1.25%-18.97%-18.58%-10.78%+4.86%-46.75%
2007-2.82%+1.72%-2.24%-0.29%+3.88%+9.90%+3.21%-2.82%+5.92%+5.30%-11.43%-1.19%+7.70%
2006+3.00%-0.63%+0.04%+10.00%-7.02%-1.73%-4.67%+3.24%+4.01%+0.77%+10.34%+1.36%+18.73%
2005+8.96%+7.11%