Einzelwerte AdvisorShares STAR Global Buy-Write ETF - USD

ETF

A14ZJZ

US00768Y7682

VEGA

Verzögert Nyse 22:10:00 18.06.2024 % 5 Tage % 1. Jan.
42.01 USD +0.21% Intraday Chart für AdvisorShares STAR Global Buy-Write ETF - USD +1.57% +7.55%

Zusammensetzung des AdvisorShares STAR Global Buy-Write ETF - USD

Gewichtung
446.3 USD -0.45%+3.16%+18.69%3,15%
214.3 USD -1.10%+3.45%+11.30%2,69%
136.4 USD +0.59%+12.13%+173.78%2,32%
182.9 USD +0.04%-2.36%+20.32%1,74%
175.1 USD +0.02%-0.87%+25.34%1,04%
499 USD -0.09%-1.57%+41.11%1,03%
891.5 USD +0.73%+2.96%+52.93%0,68%
1’806 USD +0.22%+23.37%+61.48%0,62%
197 USD +1.04%+1.36%+15.81%0,60%
184.6 USD -0.13%+8.32%-25.60%0,55%
109.4 USD +0.94%-2.49%+9.40%0,51%
481 USD -1.67%-3.06%-8.63%0,49%
273.6 USD +0.90%-0.38%+5.10%0,46%
168.6 USD +0.63%+0.64%+15.03%0,42%
450.1 USD +0.45%+0.24%+5.53%0,40%
145.6 USD -0.21%-0.76%-7.08%0,38%
353.9 USD +1.25%+5.41%+2.11%0,36%
128 USD +0.38%-2.92%+17.40%0,36%
870.8 USD +0.33%+2.52%+31.92%0,35%
984.2 DKK +0.31%-0.55%+40.98%0,33%
171.4 USD +0.99%+2.18%+10.58%0,31%
154.4 USD +0.68%-2.02%+2.80%0,30%
231.8 USD +0.58%-3.81%-11.91%0,28%
966.5 EUR -1.76%-1.94%+41.78%0,28%
154.1 USD -0.32%-2.72%+4.90%0,28%
39.99 USD +1.21%+2.91%+18.77%0,28%
67.6 USD +0.27%+1.30%+28.64%0,28%
166.5 USD +0.20%+0.85%-1.98%0,26%
62.85 USD +0.35%-1.45%+6.28%0,26%
685.7 USD +1.46%+5.72%+40.83%0,26%
569.2 USD +0.21%-1.17%+7.23%0,24%
440 USD -0.14%+1.04%+7.14%0,23%
522.8 USD +0.10%+12.87%-12.46%0,23%
101.5 USD -0.02%+0.62%+12.42%0,22%
250.8 USD -1.07%-1.37%-15.42%0,22%
94.56 CHF -0.36%-0.40%-3.03%0,21%
45.97 USD +0.61%+0.44%-9.01%0,21%
285.4 USD -0.06%-3.01%-18.68%0,21%
227.1 USD +2.19%+8.91%+57.01%0,20%
104 USD +0.52%-1.72%-5.52%0,20%
144.6 USD +2.36%+16.76%+37.19%0,20%
165 USD +1.07%+2.87%+29.26%0,19%
609.7 USD +1.19%+7.58%-2.46%0,19%
3’107 JPY +1.80%-4.52%+19.94%0,19%
8b66257e47cc2ec.bhPunHTNWgzKGklplSqfma0CcvSXGhdP0zHCW9ycHOg.PVSsxg2DbVycaywI3036ysE2E63eXVwmqX-TaLb-Wp8GR9vfTakvU6JVIg

Beschreibung

ISIN Code US00768Y7682
Verwaltungsgebühren 2.03%
Anlageklassen
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
17.09.2012
Dividenden-Politik

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 55 M€
Volumen 1M 53 M€
Volumen 3M 53 M€
Volumen 6M 49 M€
Volumen 12M 47 M€
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