Einzelwerte First Trust Long/Short Equity ETF - USD

ETF

A14ZB1

US33739P1030

FTLS

Markt geschlossen - Nyse 22:00:00 14.02.2025 % 5 Tage % 1. Jan.
67.75 USD -0.01% Intraday Chart für First Trust Long/Short Equity ETF - USD +0.33% +2.95%

Einzelwerte: First Trust Long/Short Equity ETF - USD

244.60USD+1.27%+7.45%-2.32%5.95%
138.85USD+2.63%+3.95%+3.40%5.67%
408.43USD-0.51%-0.92%-3.10%5.11%
228.68USD-0.73%-1.91%+4.23%3.46%
736.67USD+1.11%+2.69%+25.82%2.14%
106.87USD-2.62%-11.11%-3.31%2.06%
172.23USD+0.05%+0.51%+12.11%1.92%
84.61USD+3.06%+4.81%+20.20%1.92%
192.87USD-0.30%+1.33%+8.54%1.92%
185.23USD-0.49%-0.66%-2.15%1.92%
64.87USD+1.61%+3.28%+9.58%1.91%
355.84USD-0.03%+1.46%-11.89%1.78%
233.04USD-1.17%-0.85%+0.52%1.77%
389.25USD-0.60%-1.74%+5.52%1.74%
77.97USD+1.80%-0.35%-8.65%1.71%
104.08USD-1.77%+9.01%+12.68%1.57%
539.69USD-0.48%+4.73%+8.36%1.54%
750.74USD-1.77%-0.10%+19.14%1.48%
262.60USD+0.18%+5.17%+9.59%1.4%
593.69USD-1.46%-1.61%+4.17%1.39%
106.11USD-0.03%-0.07%+18.80%1.35%
564.76USD-0.27%-0.13%+7.25%1.32%
104.04USD-0.96%+1.09%+15.15%1.26%
53.90USD-3.70%-2.94%-4.70%1.16%
276.59USD+0.10%+2.05%+15.39%1.11%
53.29USD-0.62%-1.02%+1.91%1.06%
111.64USD+1.51%+1.91%+18.16%1.05%
363.26USD+0.55%+0.78%-1.65%1.04%
46.81USD+0.75%-0.72%+7.91%0.87%
38.87USD-0.56%-1.94%+34.03%0.83%
213.52USD+1.68%-3.61%-0.63%0.81%
162.94USD-0.16%-1.25%-26.27%0.77%
572.63USD+0.06%-1.86%-4.56%0.75%
187.63USD-2.67%+0.56%-2.68%0.73%
68.88USD-0.71%-4.07%-0.82%0.66%
130.61USD-0.90%-0.53%+15.47%0.65%
57.20USD+3.40%+5.57%+8.15%0.62%
256.45USD-3.19%-6.43%+8.98%0.6%
52.54USD+0.83%-0.96%+10.56%0.55%
1’027.73USD-0.01%-1.03%-2.50%0.55%
459.00USD-0.77%-2.33%+13.98%0.52%
638.18USD-1.56%+0.08%+42.65%0.51%
523.51USD-1.44%-1.85%+3.49%0.5%
87.70USD+1.22%+10.94%+34.24%0.5%
105.33USD+0.29%+0.20%+5.81%0.49%
47.75USD+0.76%+1.86%-0.17%0.49%
72.56USD-0.38%-2.13%-4.30%0.45%
125.17USD-15.01%-13.35%+15.81%0.43%
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Beschreibung

ISIN Code US33739P1030
Verwaltungsgebühren 1.36%
Anlageklassen Aktien
Branche
Währung
Fondsgesellschaft

Merkmale

Dividenden-Politik Distribution
Gerichtsstand
Fondsstruktur
Erstellungsdatum
08.09.2014
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.01.2025 )

Volumen (EUR) 1 811 M€
Volumen 1M 1 692 M€
Volumen 3M 1 456 M€
Volumen 6M 1 352 M€
Volumen 12M 854 M€
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