IE00BMDBMK72
IE00BMDBMK72
iShares MSCI Pacific ex-Japan CTB Enhanced ESG UCITS ETF
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Risk & Diversification Scores
Transparent evaluation of price volatility (SRI) and 4-dimensional portfolio diversification.
Volatility Risk Score
5/7 Elevated
5 / 7 SRI PRIIPs Risk Class
Above-average volatility. Suitable for experienced investors with high risk tolerance (5+ years horizon).
Volatility (5Y)
15.1% p.a.
5-Year HorizonMax Drawdown (5Y)
-19.9%
Deepest DrawdownSharpe Ratio
0.07
Moderate (0.0 - 0.5)Rec. Holding Period
5 - 10+ Years
Investment HorizonElevated Risk / Growth: Score Basis:
Diversification Score
Focused (35% – 50%)
48 / 100 Portfolio Diversification
4 Dimensions: Holdings (30%) • Sectors (25%) • Industries (25%) • Regions (20%)
Focused weighting: Top holdings drive a major share of fund returns.
Top 10 Holdings
43.1%
FocusedEffective Holdings
~44
of 90 holdingsTop Sector
47.5%
Financial ServicesTop Region / Country
59.4%
AustraliaElevated concentration in top individual holdings, leading sectors, or key regions.
Multi-Horizon Risk & Performance Matrix
Historical volatility, drawdowns, and risk-adjusted return across 1, 3, 5, and 10 years.
Stable Long-Term Volatility
Timeframe | Volatility (p.a.) | Max Drawdown | Sharpe Ratio | Return (p.a.) |
|---|---|---|---|---|
| 1 Year | — | — | — | +3.1% |
| 3 Years | 15.2% | -19.9% | 0.49 | +10% |
| 5 Years | 15.1% | -19.9% | 0.07 | — |
| 10 Years | — | — | — | — |
Notes & Warnings
🟢 Favorable / fair valuation: Avg P/E of 18.0
Solid fund volume
🟡 Moderate analyst coverage (11.1 analysts)
⚠️ Elevated emerging markets risk: 98% Emerging Markets.
⚠️ Sector concentration: 48% in "Financial Services".
⚠️ Elevated Economic Cyclicality: 60% in cyclical industries – more vulnerable to economic downturns.
⚠️ Elevated Interest Rate Sensitivity: 68% in rate-sensitive or leverage-heavy industries (real estate, banks, utilities).
⚠️ Elevated Regulatory & Policy Risk: 65% in heavily regulated industries (defense, regulated utilities, healthcare policy).
🟢 Strong Long-Term Stability: The asset exhibits consistently low volatility across 5 and 10 years (<16% p.a.).