Einzelwerte Advocate Rising Rate Hedge ETF - USD

ETF

A3DMRA

US00775Y7360

RRH

Verzögert Nyse % 5 Tage % 1. Jan.
- USD -.--% Intraday Chart für Advocate Rising Rate Hedge ETF - USD -2.29% -72.95%

Zusammensetzung des Advocate Rising Rate Hedge ETF - USD

Gewichtung
121 USD +0.02%+2.04%+21.07%11,96%
163.6 USD +0.44%+4.58%+9.66%10,50%
487.3 USD +0.23%+1.73%-7.44%4,63%
148.5 USD -0.69%+2.60%-5.24%4,35%
732.2 USD -1.81%-2.47%+25.61%2,71%
26.27 USD -0.19%+3.34%-8.75%2,70%
167.8 USD -1.03%+2.16%+8.28%2,69%
127 USD +0.09%+1.30%+16.49%2,63%
49.11 USD -0.89%-3.35%-5.63%2,50%
129.3 USD -0.43%+0.74%+11.38%2,35%
135.6 USD +0.59%+2.42%+12.11%2,35%
577.4 USD +0.49%+5.51%+8.78%2,04%
199.1 USD -0.26%-1.64%+34.23%2,04%
275.5 USD +0.11%+2.89%+22.52%2,02%
157.8 USD -0.66%+0.34%+18.51%1,84%
167 USD -0.32%-0.17%+28.46%1,82%
106.9 USD -0.65%+0.93%-2.89%1,80%
67.33 USD -0.09%+2.05%+12.76%1,69%
250.4 USD -1.07%+4.60%+8.24%1,64%
39.25 USD +1.21%+4.17%+12.69%1,50%
52.1 USD -0.89%+0.83%+15.01%1,49%
159.1 USD +1.40%+5.52%+10.38%1,46%
48.86 USD -0.27%+2.13%-4.77%1,43%
18.81 USD +0.27%+5.91%+6.63%1,34%
38.72 USD +0.34%+1.79%+7.11%1,32%
273 USD -0.19%+3.39%-5.21%1,31%
67.77 USD -1.07%-1.21%-14.17%1,15%
533.7 USD +0.15%+4.86%+13.18%1,15%
80.95 USD +0.75%+4.21%+15.28%1,10%
32.67 USD -1.00%+2.03%-4.42%1,09%
67.08 USD +0.07%+0.22%-17.20%1,00%
80.38 USD -1.12%+1.64%-2.43%0,97%
352.3 USD -0.10%+1.79%+17.64%0,95%
205.2 USD +0.43%+2.03%+32.34%0,90%
375 USD -0.55%+0.22%+11.16%0,89%
336.8 USD +0.58%+0.24%+12.49%0,77%
28.46 USD +1.17%+4.56%+11.52%0,72%
906.5 USD -0.09%+0.59%+3.22%0,72%
400.8 USD -1.02%+1.95%-1.51%0,69%
233.8 USD -0.23%+0.70%-4.10%0,69%
150.9 USD +0.88%-0.70%-23.55%0,65%
27.53 USD -1.04%-0.54%+13.95%0,64%
116.9 USD +0.77%+4.16%+34.57%0,62%
72.91 USD +5.68%+7.28%+26.12%0,62%
316 USD -3.66%-2.31%-30.98%0,61%
108.8 USD +0.89%+5.23%+9.45%0,55%
32.05 USD -0.03%-0.65%-10.67%0,55%
535.4 USD +0.64%+1.81%+15.65%0,50%
319 USD -0.13%+2.57%+17.86%0,48%
39.43 USD +3.82%+9.41%+1.99%0,46%
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Beschreibung

ISIN Code US00775Y7360
Verwaltungsgebühren 0.85%
Anlageklassen
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Erstellungsdatum
28.10.2021
Dividenden-Politik

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 29.09.2023 )

Volumen (EUR) 5 M€
Volumen 1M 6 M€
Volumen 3M 9 M€
Volumen 6M 29 M€
Volumen 12M 40 M€
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