Einzelwerte AMUNDI INDEX MSCI WORLD UCITS ETF - EUR

ETF

A2ATYV

LU1437016972

WRDU

Schlusskurs London S.E. 17:35:03 17.01.2024 % 5 Tage % 1. Jan.
112.1 USD -1.02% Intraday Chart für AMUNDI INDEX MSCI WORLD UCITS ETF - EUR -1.08% -1.87%

Zusammensetzung des AMUNDI INDEX MSCI WORLD UCITS ETF - EUR

Gewichtung
195.9 USD +0.78%+2.93%+1.73%5,10%
424 USD +1.91%-1.20%+12.76%4,11%
181.3 USD +1.08%-0.41%+19.31%2,23%
1’224 USD +5.16%+6.63%+147.24%2,07%
175.4 USD +0.93%-0.28%+25.57%1,40%
175 USD +0.12%-0.69%-29.58%1,20%
495.1 USD +3.79%+4.36%+39.86%1,16%
503.1 USD -0.47%+3.80%-4.44%0,81%
831.8 USD -0.10%+2.49%+42.69%0,80%
113.1 USD +0.40%-0.45%+13.14%0,77%
197.3 USD -0.95%-0.43%+15.97%0,77%
146 USD -1.24%+1.06%-6.87%0,71%
274.5 USD +0.76%+2.10%+5.43%0,70%
1’413 USD +6.18%+1.61%+26.59%0,65%
166 USD -0.57%+2.72%+13.31%0,64%
446.7 USD +0.42%+0.95%+4.72%0,61%
330.3 USD +0.61%+1.33%-4.70%0,59%
97.72 CHF +0.12%+7.17%+0.22%0,58%
155 USD -0.74%-1.22%+3.90%0,51%
129.4 USD +0.57%+2.82%+18.74%0,50%
943.6 EUR +8.10%+6.20%+38.42%0,49%
165.4 USD +2.04%+6.88%+6.76%0,46%
63.92 USD -0.03%+3.60%+8.47%0,44%
173.5 USD -0.23%+1.37%+2.15%0,44%
455.8 USD +1.66%-4.56%-23.60%0,43%
834.3 USD +0.84%+3.44%+26.39%0,43%
752.6 EUR +2.39%+3.92%+2.59%0,42%
67.09 USD +0.74%+3.34%+27.67%0,42%
46.02 USD -2.95%-0.13%-8.91%0,41%
575.3 USD +0.98%+1.41%+8.38%0,38%
12’516 GBX +0.90%+4.91%+18.08%0,38%
236.1 CHF +0.81%+2.83%-3.44%0,37%
236.5 USD +0.71%-12.92%-10.11%0,37%
94.5 CHF +1.91%+4.41%+11.35%0,37%
260 USD -1.04%+4.26%-12.32%0,37%
29.55 USD +0.20%+6.22%+2.64%0,37%
39.96 USD +0.71%+3.20%+18.68%0,36%
2’718 GBX -0.20%-3.00%+5.68%0,36%
291 USD +1.03%-0.94%-17.07%0,36%
39.14 USD -1.06%+3.16%-10.74%0,34%
122.6 USD +2.13%-0.90%+16.31%0,34%
650.3 USD +2.95%-0.66%+33.56%0,34%
435.1 USD +0.91%+2.09%+5.93%0,33%
103.2 USD -0.19%+2.48%-6.21%0,32%
267.8 USD +1.72%+4.66%+15.78%0,32%
3’218 JPY 0.00%-5.07%+24.22%0,32%
166.2 USD +3.86%+0.62%+12.73%0,31%
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Beschreibung

ISIN Code LU1437016972
Verwaltungsgebühren 0.18%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI World Daily Total Return Net Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
29.06.2016
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.12.2023 )

Volumen (EUR) 1 166 M€
Volumen 1M 1 145 M€
Volumen 3M 1 041 M€
Volumen 6M 1 000 M€
Volumen 12M 532 M€
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