Einzelwerte First Trust Active Factor Mid Cap ETF - USD

ETF

A3DU4G

US33740F8133

AFMC

Markt geschlossen - Nyse 22:10:00 03.05.2024 % 5 Tage % 1. Jan.
29.14 USD +1.08% Intraday Chart für First Trust Active Factor Mid Cap ETF - USD +1.99% +9.17%

Zusammensetzung des First Trust Active Factor Mid Cap ETF - USD

Gewichtung
81.49 USD +2.03%+12.09%+111.55%1,40%
289.8 USD -0.32%-0.29%+3.61%1,37%
68.78 USD +4.04%+4.85%+10.12%1,27%
20.64 USD +0.63%+0.78%+7.00%1,26%
174.8 USD +0.96%+3.74%+17.93%1,20%
54.54 USD +0.48%+1.04%+3.41%1,19%
117.2 USD +1.70%-0.89%-7.99%1,15%
842.3 USD +1.17%+1.07%+26.02%1,10%
195.8 USD +3.75%+4.34%+17.29%1,05%
177 USD +2.26%+4.46%+1.63%1,03%
30.79 USD +0.16%+1.45%+7.85%1,01%
853.4 USD +1.47%+3.76%-8.08%0,87%
55.9 USD -0.99%+4.53%+11.71%0,86%
135.5 USD +3.58%+1.07%+14.71%0,84%
176 USD +0.39%-5.17%+5.87%0,83%
59.42 USD +1.78%+5.82%+9.39%0,82%
46.75 USD +1.08%+1.59%-6.18%0,82%
51.62 USD -0.14%+1.71%+14.15%0,82%
458.7 USD +0.65%-3.85%+2.50%0,80%
136 USD +1.17%-2.42%+5.17%0,80%
304.7 USD +4.26%+7.99%+51.01%0,77%
98.91 USD -3.95%-4.17%-1.88%0,76%
782.7 USD +2.65%-8.72%+175.35%0,76%
166.6 USD +1.38%+4.81%+6.26%0,76%
57.2 USD +1.69%-0.63%+7.22%0,73%
58.35 USD +1.55%-2.08%+1.55%0,73%
363.7 USD +2.09%+2.74%+68.84%0,73%
76.4 USD -0.17%+1.25%+9.79%0,72%
116.6 USD +2.45%+2.50%+13.00%0,72%
74.06 USD -0.80%-0.58%+27.36%0,70%
31.34 USD +0.22%+0.80%+2.22%0,70%
185.6 USD +0.85%+1.67%-1.76%0,69%
181 USD +1.59%+4.29%-8.55%0,69%
123.6 USD +1.97%+2.84%+20.27%0,69%
73.68 USD +2.33%+10.00%+53.15%0,69%
1’193 USD +2.37%+7.40%+2.49%0,68%
546.9 USD +1.37%+3.30%+0.19%0,68%
57.18 USD +3.03%+1.49%+3.16%0,68%
218 USD -0.62%+2.12%+5.94%0,67%
21.9 USD -0.99%-7.59%-8.71%0,67%
379.9 USD +1.86%-6.78%+15.49%0,66%
45.04 USD +1.33%+4.33%-8.06%0,66%
35.22 USD +0.71%+2.15%-10.29%0,65%
402.4 USD -1.59%-1.16%+7.51%0,65%
254.4 USD +1.57%+0.89%+24.21%0,65%
23.44 USD -0.64%+2.54%-3.74%0,61%
36.45 USD +1.87%+4.02%-18.22%0,60%
261.1 USD +1.63%+1.72%+28.73%0,59%
117.6 USD +1.02%+0.14%+9.29%0,58%
30.62 USD -0.07%+1.63%+4.15%0,58%
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Beschreibung

ISIN Code US33740F8133
Verwaltungsgebühren 0.65%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
03.12.2019
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 7 M€
Volumen 1M 7 M€
Volumen 3M 5 M€
Volumen 6M 6 M€
Volumen 12M 4 M€
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