Einzelwerte First Trust Large Cap US Equity Select ETF - USD

ETF

A3D8FN

US33738R7614

RNLC

Verzögert Nasdaq % 5 Tage % 1. Jan.
- USD -.--% Intraday Chart für First Trust Large Cap US Equity Select ETF - USD -.--% -.--%

Zusammensetzung des First Trust Large Cap US Equity Select ETF - USD

Gewichtung
34.2 USD -2.40%-4.17%-31.94%0,99%
1’205 USD -4.31%-10.37%+7.92%0,95%
591.5 USD -4.64%-10.13%-6.22%0,94%
157.6 USD -2.36%-7.97%+8.99%0,93%
82.46 USD -1.17%-3.20%-3.41%0,92%
106.8 USD -4.61%-12.86%+25.11%0,92%
124.9 USD +0.93%-0.65%+15.40%0,89%
628.2 USD -2.49%-7.73%+8.06%0,89%
27.81 USD +0.69%-2.52%-7.58%0,88%
399.1 USD -1.27%-5.40%+6.14%0,88%
870.2 USD -2.10%-9.07%+11.11%0,88%
122.2 USD -3.85%-8.03%+1.99%0,88%
605.2 USD -0.53%-2.57%-3.18%0,87%
60.82 USD +0.58%-1.92%-0.47%0,86%
762 USD -10.00%-13.59%+53.87%0,85%
97.95 USD -2.19%-3.79%+11.10%0,85%
181.6 USD +0.06%-0.38%+11.02%0,85%
62.13 USD -4.77%-11.45%+3.02%0,83%
114.9 USD -2.96%-2.45%+50.16%0,83%
81.68 USD -3.00%-4.62%-9.43%0,81%
67.44 USD +0.46%-2.63%-10.71%0,81%
140.6 USD +0.05%-1.70%+0.04%0,81%
534.4 USD +1.35%-0.27%-1.98%0,81%
235.8 USD +0.03%-2.94%+3.72%0,80%
96.11 USD -1.55%-5.36%-14.51%0,79%
159.7 USD -2.44%-4.00%-6.32%0,78%
215.1 USD -1.93%-7.91%-6.34%0,78%
95.97 USD -4.22%-9.35%-11.56%0,77%
31.27 USD +1.16%-0.70%+2.69%0,76%
118.8 USD -8.36%-11.43%-6.79%0,75%
16.79 USD -1.47%-3.62%-1.12%0,74%
114.9 USD -0.97%-5.14%+8.96%0,73%
52.46 USD +0.77%+8.91%+0.54%0,70%
183.2 USD -0.88%-7.45%-11.35%0,57%
40.49 USD +0.90%+1.94%+7.40%0,56%
16.51 USD +1.10%+1.23%-1.61%0,52%
339.6 USD +0.06%-1.21%+8.48%0,51%
142.2 USD -2.53%-6.28%-6.44%0,48%
105.4 USD -0.50%-4.92%+2.14%0,48%
150.2 USD -1.51%-6.07%+0.77%0,46%
144.8 USD -0.59%-2.00%+6.52%0,45%
40.24 USD +1.56%+2.21%-8.23%0,44%
42.42 USD +0.90%-0.14%-5.06%0,43%
108.2 USD +2.07%+2.94%+7.33%0,43%
48.32 USD +0.44%-0.35%-4.35%0,42%
194.5 USD -2.19%-5.18%+6.80%0,42%
133.3 USD +1.17%-1.95%-3.65%0,42%
139.5 USD -0.85%-2.51%+8.54%0,41%
726.3 USD -2.63%-3.37%+24.60%0,41%
709.5 USD -0.24%-2.98%+7.49%0,41%
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Beschreibung

ISIN Code US33738R7614
Verwaltungsgebühren 0.60%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert Bloomberg Shareholder Yield Index - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
20.06.2017
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 19 M€
Volumen 1M 19 M€
Volumen 3M 17 M€
Volumen 6M 16 M€
Volumen 12M 15 M€
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