Einzelwerte CSIF (IE) MSCI USA ESG Leaders Blue UCITS ETF - B - USD

ETF

A2PW7A

IE00BJBYDP94

USESG

Markt geschlossen - Swiss Exchange 17:35:19 15.05.2024 % 5 Tage % 1. Jan.
208.8 USD +1.46% Intraday Chart für CSIF (IE) MSCI USA ESG Leaders Blue UCITS ETF - B - USD +1.93% +11.48%

Zusammensetzung des CSIF (IE) MSCI USA ESG Leaders Blue UCITS ETF - B - USD

Gewichtung
206.3 USD +0.61%+1.35%+8.90%0,42%
208.3 USD -1.20%-1.69%-1.11%0,42%
33.84 USD -0.27%-1.11%-2.39%0,41%
343.3 USD -0.91%-1.17%+14.64%0,40%
161.3 USD +1.22%+2.63%+4.19%0,39%
103.5 USD +2.43%+6.38%-10.13%0,39%
40.18 USD +2.01%+2.01%+8.83%0,38%
42.22 USD +0.64%+1.27%-2.45%0,38%
947.8 USD +3.86%+3.77%+21.00%0,38%
137.9 USD +2.59%+3.36%+7.35%0,37%
67.01 USD -0.95%+3.22%-17.28%0,37%
98.48 USD -0.19%-0.02%+4.98%0,36%
90.16 USD +4.28%+5.96%+18.24%0,36%
287.8 USD -0.05%+1.40%-1.11%0,35%
231.4 USD +0.62%-0.34%-2.12%0,34%
209.2 USD -2.07%-3.08%+31.37%0,33%
249.1 USD -0.12%+0.68%-4.91%0,33%
809.7 USD +2.51%+16.89%+0.53%0,33%
209 USD -0.41%-0.48%+16.69%0,33%
437.5 USD +2.08%+4.46%+7.52%0,32%
136 USD +1.45%+4.99%-7.01%0,31%
43.19 USD +1.46%+3.97%+4.35%0,31%
327 USD +2.02%+5.67%+20.79%0,31%
316.4 USD +0.74%-0.82%+1.43%0,31%
338 USD +2.27%+2.29%+40.34%0,30%
94.53 USD -0.04%+1.13%+18.59%0,30%
48.31 USD -0.64%+0.94%-7.17%0,29%
409.9 USD +1.94%+3.53%+4.95%0,28%
1’718 USD +2.05%+0.10%+9.35%0,28%
347.2 USD +0.77%+7.10%-24.17%0,27%
78.03 USD +1.83%+3.72%+4.42%0,26%
115 USD -0.49%+3.97%-17.40%0,26%
78.9 USD -0.68%-1.24%+16.46%0,26%
172.6 USD -0.60%-4.58%+16.37%0,26%
129.7 USD +2.97%+1.80%+4.53%0,25%
78.09 USD +1.59%+2.95%+5.23%0,25%
531.4 USD +2.04%+1.99%-2.52%0,24%
220.2 USD +2.04%+2.94%-9.54%0,24%
68.18 USD +1.94%+4.51%+18.29%0,23%
233 USD +0.45%-0.12%+17.44%0,23%
251.3 USD +1.79%+0.67%-8.97%0,23%
548.5 USD +5.26%+12.62%-1.17%0,23%
214.4 USD -1.49%-1.38%+12.53%0,22%
293.1 USD +3.45%+3.73%+7.61%0,22%
119.6 USD +0.61%+2.49%+15.32%0,22%
31.36 USD +1.95%+6.52%+4.22%0,22%
346.8 USD -1.56%+0.36%-32.16%0,22%
101 USD +2.21%+2.64%+12.01%0,21%
204.6 USD -0.36%+2.09%+12.35%0,21%
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ETF Ratings

Beschreibung

ISIN Code IE00BJBYDP94
Verwaltungsgebühren 0.10%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI USA ESG Leaders Index NTR - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
12.03.2020
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 2 383 M€
Volumen 1M 2 491 M€
Volumen 3M 2 361 M€
Volumen 6M 1 715 M€
Volumen 12M 1 761 M€
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