Einzelwerte 6 Meridian Hedged Equity Index Option ETF - USD

ETF

A3DUZ8

US3015056654

SIXH

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35.41 USD -0.58% Intraday Chart für 6 Meridian Hedged Equity  Index Option ETF - USD -0.18% +6.41%

Zusammensetzung des 6 Meridian Hedged Equity Index Option ETF - USD

Gewichtung
550.6 USD -1.58%-4.69%+13.10%-.--%
161.8 USD -1.62%-0.49%+26.79%-.--%
430.2 USD -0.57%-13.29%+21.53%-.--%
722.9 USD -0.47%+0.03%+9.52%-.--%
3’452 USD -1.79%-2.32%-2.68%-.--%
162.6 USD +0.69%-4.07%+4.95%4,23%
781.1 USD +5.95%+4.75%+34.00%3,90%
43.81 USD -0.02%+2.19%+8.60%3,70%
864 USD -1.54%+4.83%+74.47%2,76%
162.8 USD -2.03%+2.86%+16.53%2,76%
65.2 USD -1.12%-2.73%-19.52%2,72%
38.61 USD -0.10%+1.42%+4.41%2,71%
161.3 USD -3.04%-0.97%+8.12%2,69%
175 USD -3.29%-2.53%+15.18%2,69%
59.35 USD -1.48%+0.44%+12.94%2,66%
91.92 USD +1.58%+3.77%+15.32%2,64%
125.6 USD -3.53%-3.25%+8.23%2,63%
170.3 USD -1.83%+2.06%-11.53%2,62%
175.9 USD -0.13%+2.74%+3.57%2,62%
39.49 USD -1.50%-0.53%+4.75%2,55%
462.8 USD -2.16%-2.13%-22.42%2,54%
118.3 USD -1.15%-2.28%+18.29%2,53%
158.4 USD -1.14%+4.01%+7.44%1,58%
1’300 USD -2.86%+4.09%+16.49%1,56%
334.6 USD -4.35%-7.90%+13.16%1,50%
143.4 USD -1.42%-3.02%+9.39%1,50%
140.5 USD -2.97%-2.26%-1.48%1,44%
176.4 USD -1.60%+6.62%+3.50%1,43%
228 USD -1.28%-2.38%+2.44%1,42%
234 USD -2.05%-2.06%+24.92%1,41%
334.2 USD -0.77%-1.41%-3.56%1,41%
107.8 USD -1.80%-1.81%+10.74%1,41%
391.4 USD -2.38%-1.46%-2.12%1,41%
164.2 USD -0.05%+0.56%+2.40%1,37%
56.9 USD -1.56%+0.28%+3.76%1,37%
129.2 USD -0.69%+1.84%+18.53%1,37%
46.98 USD -1.67%-2.77%-7.01%1,36%
38.11 USD -1.90%-5.57%-13.09%1,35%
273 USD -0.19%-1.39%-7.92%1,35%
300.9 USD -0.74%-5.02%-14.25%1,35%
80.24 USD -0.77%-1.29%-2.60%1,34%
166.2 USD -0.73%-8.78%+1.62%1,33%
268.9 USD -2.47%-2.80%+2.20%1,32%
147.5 USD -0.72%-0.93%-6.20%1,32%
389.3 USD -3.21%-4.48%+3.53%1,31%
464.9 USD -0.56%+1.05%+2.58%1,31%
61.77 USD -0.44%+1.86%+4.82%1,31%
94.94 USD -0.69%-2.79%+0.91%1,30%
144.6 USD -1.52%-3.32%-7.75%1,29%
92.26 USD -1.91%-1.87%-15.02%1,25%
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Beschreibung

ISIN Code US3015056654
Verwaltungsgebühren 0.84%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
11.05.2020
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 27.03.2024 )

Volumen (EUR) 363 M€
Volumen 1M 412 M€
Volumen 3M 363 M€
Volumen 6M 333 M€
Volumen 12M 316 M€
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