Einzelwerte AMUNDI INDEX MSCI EUROPE ESG BROAD CTB UCITS ETF - (C) - EUR

ETF

A2H567

LU1681042609

CEU

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337.1 EUR -0.46% Intraday Chart für AMUNDI INDEX MSCI EUROPE ESG BROAD CTB UCITS ETF - (C) - EUR +0.25% +10.65%

Zusammensetzung des AMUNDI INDEX MSCI EUROPE ESG BROAD CTB UCITS ETF - (C) - EUR

Gewichtung
121.7 NOK -0.73%-1.46%+4.37%-.--%
33.92 EUR +0.21%-1.19%+25.72%-.--%
86.28 CHF -0.58%-1.12%+8.17%-.--%
33.26 SEK +0.97%+5.72%+2.13%-.--%
58 EUR 0.00%+0.45%+40.88%-.--%
9.944 EUR -0.54%-2.70%+8.44%-.--%
1’348 GBX -0.52%-1.25%-2.95%-.--%
114.8 EUR -0.95%-1.88%+6.39%-.--%
13.64 EUR -0.22%+3.29%-14.28%-.--%
44.65 EUR -0.36%+1.06%+4.57%-.--%
9’920 EUR -1.00%+0.20%+20.53%-.--%
139.2 GBX -0.57%-1.49%+12.58%-.--%
14.16 EUR -0.35%+0.53%+31.60%-.--%
96.65 CHF -0.31%-0.26%-10.92%-.--%
1’007 DKK -2.04%+2.32%+44.25%3,99%
946.6 EUR -0.38%-2.06%+38.86%3,40%
12’556 GBX +0.05%+1.75%+18.45%2,19%
727 EUR -1.33%+2.83%-0.90%2,18%
95.93 CHF +0.04%+2.14%+13.03%2,11%
186 EUR +2.37%+5.53%+33.37%1,84%
249.6 CHF -1.50%-0.08%+2.09%1,67%
688.1 GBX +0.16%-0.71%+8.28%1,59%
227.2 EUR +0.33%+0.55%+24.99%1,56%
437.6 EUR +0.25%+0.22%-2.90%1,47%
49.66 CHF -0.02%-2.32%+33.14%1,45%
259.1 EUR -0.42%+0.39%+7.09%1,23%
169.2 EUR -0.21%+0.58%-0.41%1,19%
2’553 GBX -0.76%-0.62%-10.61%1,19%
480.2 CHF -1.05%-0.52%+9.24%1,15%
90.79 EUR -0.09%+4.57%+1.15%1,11%
1’600 GBX +0.28%-1.05%+10.30%1,05%
164.8 EUR -1.02%+2.13%+2.94%0,99%
26.29 CHF -0.83%-4.78%+0.73%0,97%
12.3 EUR -1.24%+2.54%+3.58%0,95%
3’604 GBX -0.30%+0.47%+15.88%0,92%
30.66 EUR -0.33%+0.62%+3.97%0,89%
55.46 EUR -0.75%+0.69%-5.07%0,89%
887.6 GBX -0.83%-1.49%-16.11%0,88%
87.96 EUR -2.53%-0.66%-12.72%0,87%
4.344 EUR -0.82%-2.40%+14.95%0,83%
465.7 EUR -0.09%+1.04%+24.15%0,82%
60.25 EUR -0.51%+2.62%-3.74%0,78%
142.2 CHF -1.52%+0.85%+22.81%0,77%
72.34 USD -2.38%-4.85%+7.14%0,75%
6.548 EUR -0.46%+2.31%-2.70%0,74%
101.2 EUR -0.34%+0.75%-11.04%0,73%
8.IMhijlK4OHvcPj3ZMM4YF4UbB22AdogeQM3r8dhmsdU.WpglwBeAayi_R3nqQ715Y7ZydiztENxpcp2mwKorhadCsAbgKulfQq12aA

Beschreibung

ISIN Code LU1681042609
Verwaltungsgebühren 0.12%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Europe ESG Broad CTB Select NR Index - EUR

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
22.03.2018
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 1 662 M€
Volumen 1M 1 599 M€
Volumen 3M 1 654 M€
Volumen 6M 1 553 M€
Volumen 12M 1 606 M€
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