UMC

NYSEStock

United Microelectronics Corporation

$9.34-0.37 (-3.81%)

52-Week Range

$6.12
$12.48

Key Stats

Market Cap

N/A

P/E Ratio

N/A

Dividend Yield

0.05%

Beta

1.00

Volume

4.3M

Avg Volume

8.2M

Performance

1M

-9.22%

3M

+19.26%

6M

+36.50%

YTD

+19.26%

1Y

+44.51%

3Y

+10.91%

5Y

+6.25%

Price Chart

ETF Exposure

UMC is held by 24 ETFs

ETFFund NameWeight
CHPYYieldMax Semiconductor Portfolio Option Income ETF2.83%
SOXYYieldMax Target 12 Semiconductor Option Income ETF1.71%
ADREInvesco BLDRS Emerging Markets 50 ADR Index Fund1.55%
FDLSInspire Fidelis Multi Factor ETF1.12%
SPTESP Funds S&P Global Technology ETF1.10%
DMREDeltaShares S&P EM 100 & Managed Risk ETF0.63%
SOXXiShares Semiconductor ETF0.63%
DEHPDimensional - Emerging Markets High Profitability ETF0.51%
GMFState Street SPDR S&P Emerging Asia Pacific ETF0.36%
DEXCDimensional - Emerging Markets ex China Core Equity ETF0.33%
DFEVDimensional - Emerging Markets Value ETF0.28%
SPWOSP Funds S&P World (ex-US) ETF0.28%
SPEMState Street SPDR Portfolio Emerging Markets ETF0.25%
SOXLDirexion Daily Semiconductor Bull 3X ETF0.13%
DFEMDimensional - Emerging Markets Core Equity 2 ETF0.10%
CWIState Street SPDR MSCI ACWI ex-US ETF0.09%
DFAEDimensional - Emerging Core Equity Market ETF0.09%
TDIVFirst Trust NASDAQ Technology Dividend Index Fund0.09%
SPGMState Street SPDR Portfolio MSCI Global Stock Market ETF0.07%
VWOVanguard FTSE Emerging Markets ETF0.04%
VEUVanguard FTSE All-World ex-US ETF0.03%
AVTMAvantis Total Equity Markets ETF 10.00%
DFAXDimensional - World ex US Core Equity 2 ETF0.00%
VTVanguard Total World Stock ETF0.00%

About UMC ETF Exposure

United Microelectronics Corporation (UMC) is held by 24 exchange-traded funds, making it one of the stocks with significant ETF exposure. The stock currently trades at $9.34 with a dividend yield of 0.05%. Investors can gain exposure to UMC through a variety of ETFs with different expense ratios, investment strategies, and portfolio weightings. The table above shows all ETFs that currently hold UMC, sorted by portfolio weight.