Einzelwerte AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - JPY

ETF

A2QEUK

LU2233156749

JARI

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7’620 JPY +1.09% Intraday Chart für AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - JPY +3.04% 0.00%

Zusammensetzung des AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - JPY

Gewichtung
18’705 JPY +0.29%+0.73%+6.13%5,00%
13’640 JPY +0.81%+6.48%+1.72%4,87%
10’725 JPY +2.63%+7.25%+55.89%4,85%
6’005 JPY +2.67%+8.85%+70.16%4,81%
4’409 JPY +2.06%+5.05%+6.32%4,78%
22’370 JPY +0.07%-3.47%-2.68%4,09%
6’425 JPY +3.00%+11.06%+33.94%3,70%
4’482 JPY -0.51%-1.58%-14.64%3,58%
4’254 JPY +0.78%+1.99%-5.17%3,57%
3’601 JPY -1.45%+7.36%+77.04%3,42%
1’590 JPY -0.56%+3.96%-5.69%3,21%
3’009 JPY +0.45%-2.27%+18.05%3,11%
3’439 JPY +0.64%+0.97%+9.14%2,98%
4’274 JPY +0.83%+3.71%-4.79%2,78%
5’641 JPY -2.49%+1.24%+3.69%2,70%
5’167 JPY -0.62%-1.00%+1.35%2,63%
2’517 JPY +0.48%+5.18%+18.31%2,52%
1’964 JPY +0.82%+1.13%+11.65%2,40%
9’865 JPY -0.09%+4.69%+46.87%2,28%
5’777 JPY -0.35%-1.18%-1.92%2,26%
2’708 JPY +0.11%+2.38%-28.52%2,21%
2’748 JPY +0.83%+2.00%+15.93%2,02%
2’196 JPY -0.92%+2.64%-12.70%1,93%
2’591 JPY +0.76%+4.37%-1.08%1,83%
1’864 JPY -0.61%+2.11%+7.92%1,80%
5’529 JPY -1.85%+3.04%-16.01%1,74%
829.9 JPY -2.70%+2.07%+32.15%1,62%
4’028 JPY -0.35%+3.68%+26.87%1,48%
12’710 JPY -0.08%-1.05%+20.47%1,48%
4’481 JPY -0.60%+3.39%-3.96%1,38%
2’310 JPY -1.05%+6.26%-7.49%1,36%
6’322 JPY +0.21%-1.43%+8.25%1,34%
3’435 JPY +1.90%+5.82%+49.43%1,31%
1’482 JPY -0.17%+0.85%-26.75%1,30%
2’250 JPY +1.03%-0.29%+6.01%1,16%
3’766 JPY -0.53%+1.92%+15.63%0,90%
6’548 JPY +0.34%-3.61%-16.21%0,82%
1’768 JPY -0.34%+2.73%-32.12%0,81%
4’521 JPY -0.44%+3.41%+10.24%0,75%
13’245 JPY -2.43%+5.04%+58.62%0,60%
2’970 JPY -0.30%+1.28%-2.96%0,52%
2’808 JPY +2.02%+6.81%+25.35%0,49%
1’227 JPY +1.57%+5.41%+29.28%0,48%
9’497 JPY -0.62%+1.49%-6.48%0,43%
388.9 JPY -0.28%-1.59%-22.17%0,42%
4’878 JPY -2.01%-3.33%+14.88%0,26%
4.IEYjUIOvxnGb2jsc6FSCqXOJhlpT1dVaea8ag3hUV0o.VXZCFu2dngPvhVBYp3nF_Dvbty8JrLtsTuUuyQwdABt6DEEe2penA_ySVA

ETF Ratings

Beschreibung

ISIN Code LU2233156749
Verwaltungsgebühren 0.18%
Anlageklassen Actions
Branche
Wert
Währung
Fondsgesellschaft
Basiswert 100% MSCI JAPAN SRI FILTERED PAB Total Return Index - JPY

Merkmale

Dividenden-Politik Capitalisation
Replikationsmethode Physique
Gerichtsstand
Fondsstruktur
Replikationsmodell
Erstellungsdatum
27.10.2020
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 388 M€
Volumen 1M 395 M€
Volumen 3M 524 M€
Volumen 6M 579 M€
Volumen 12M 704 M€
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