Einzelwerte First Trust NASDAQ-100 Equal Weighted Index Fund ETF - USD

ETF

A0MMRA

US3373441050

QQEW

Markt geschlossen - Nasdaq 22:15:00 03.05.2024 % 5 Tage % 1. Jan.
119.1 USD +1.21% Intraday Chart für First Trust NASDAQ-100 Equal Weighted Index Fund ETF - USD +0.76% +1.39%

Zusammensetzung des First Trust NASDAQ-100 Equal Weighted Index Fund ETF - USD

Gewichtung
125 USD -0.47%+15.77%+25.69%1,31%
319.5 USD +1.59%-4.26%-11.95%1,18%
957 USD +2.07%+8.36%+8.96%1,08%
55 USD +3.02%+3.05%-4.53%1,06%
452 USD +2.33%+1.96%+27.69%1,06%
164.6 USD -0.19%+0.39%+2.66%1,06%
120.7 USD +0.79%-0.83%-15.01%1,05%
64.78 USD -0.84%-0.98%-20.03%1,05%
674 USD +1.77%+1.17%+11.84%1,05%
36.35 USD -1.01%-4.74%-1.70%1,05%
69.89 USD -0.87%-1.02%-3.51%1,05%
217.5 USD +1.87%+4.12%-15.94%1,05%
54.25 USD +0.86%+0.54%-12.37%1,05%
37.41 USD -1.27%+0.24%+4.21%1,04%
117.9 USD -4.89%-3.56%-15.30%1,04%
114.7 USD +2.11%-0.12%+34.40%1,04%
33.85 USD +0.83%-0.41%-2.37%1,03%
201.5 USD +1.96%-3.01%+29.93%1,03%
30.9 USD +1.28%-3.07%-38.51%1,03%
79.47 USD +2.11%-7.85%+2.78%1,03%
743.9 USD +1.56%+2.02%+12.70%1,03%
401.1 USD +0.23%+0.91%-1.43%1,03%
130.8 USD +2.47%-2.07%-5.46%1,02%
128.4 USD +1.36%+3.24%+3.45%1,02%
579.3 USD +2.51%+3.23%+18.99%1,02%
68.51 USD +2.76%-1.59%+13.60%1,02%
176.2 USD +0.40%+0.32%+3.72%1,02%
234.6 USD -0.41%-2.60%+4.03%1,02%
3.12 USD +2.30%+3.31%-42.96%1,02%
887.9 USD +3.46%+1.20%+79.29%1,02%
47.12 USD +0.71%-1.55%-6.73%1,02%
237.3 USD +1.53%+7.32%-0.64%1,01%
31.92 USD +0.63%-2.80%-6.61%1,01%
355.2 USD +1.24%-2.62%-30.54%1,01%
33.83 USD +0.80%+0.33%+1.53%1,01%
381.4 USD +0.98%+1.61%+13.04%1,01%
480.6 USD +1.00%-3.75%-13.41%1,01%
195.8 USD +1.12%+1.22%-6.63%1,01%
66.6 EUR -0.60%-1.04%+10.63%1,01%
145.9 USD +1.96%+0.98%-9.36%1,00%
17.81 USD +1.60%+0.62%-31.79%1,00%
140.2 USD +1.92%+8.41%-4.19%1,00%
406.7 USD +2.22%+0.08%+8.14%1,00%
178.9 USD +1.77%+0.81%+4.96%0,99%
194.9 USD +4.66%+3.45%+66.70%0,99%
265.9 USD +1.50%+4.45%-31.58%0,99%
185.1 USD +0.91%+1.45%-8.69%0,99%
3’577 USD +3.01%+1.60%+0.85%0,99%
129.6 USD +0.82%+1.30%-5.30%0,99%
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Beschreibung

ISIN Code US3373441050
Verwaltungsgebühren 0.58%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert NASDAQ-100 Equal Weighted Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
19.04.2006
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 2 033 M€
Volumen 1M 2 033 M€
Volumen 3M 2 043 M€
Volumen 6M 1 812 M€
Volumen 12M 1 300 M€
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