Einzelwerte First Trust RiverFront Dynamic Developed International ETF - USD

ETF

A3D8F9

US33739P6088

RFDI

Verzögert Nasdaq 19:15:00 03.07.2024 % 5 Tage % 1. Jan.
65.02 USD +1.36% Intraday Chart für First Trust RiverFront Dynamic Developed International ETF - USD +0.96% +6.26%

Zusammensetzung des First Trust RiverFront Dynamic Developed International ETF - USD

Gewichtung
96.11 CHF -0.36%+0.19%+13.24%1,88%
64.83 EUR +1.28%+4.50%+5.24%1,83%
985.8 EUR +2.06%+4.14%+44.61%1,73%
260 EUR +0.50%+0.35%+7.46%1,42%
3’340 JPY -0.09%+5.53%+48.21%1,41%
4’302 GBX -0.14%-2.67%+13.21%1,29%
92.56 CHF +0.04%-0.37%-5.08%1,14%
34.64 AUD +1.02%-2.42%+36.92%1,12%
43.65 AUD +1.14%+0.76%-13.41%1,05%
218.2 GBX +3.51%+5.98%+41.86%1,02%
1’738 JPY +0.20%+0.49%+18.59%0,95%
4’487 JPY +1.24%-0.09%+23.10%0,92%
64.5 AUD +0.09%-2.49%+13.08%0,89%
6’634 JPY +2.38%+14.10%+38.29%0,87%
15.74 EUR +3.44%+7.34%+27.34%0,87%
3’446 JPY -0.55%+5.54%+42.84%0,87%
13.26 EUR +2.24%+2.16%+3.17%0,81%
912.2 GBX +2.15%+2.77%-13.78%0,80%
39.64 EUR +2.83%+3.61%-11.63%0,77%
2’455 GBX +0.90%-2.23%+6.95%0,76%
19’450 JPY +0.21%+3.43%+10.35%0,74%
14.46 EUR -0.45%+1.56%-5.77%0,74%
12’925 JPY +1.37%+0.27%+22.51%0,74%
- RUB - - - 0,70%
0.214 EUR -.--% - - 0,70%
0.3938 CAD -17.11% - - 0,70%
- GBX -.--% - - 0,70%
- EUR -.--% - - 0,70%
- EUR -.--% - - 0,70%
- AUD -.--% - - 0,70%
- USD -.--% - - 0,70%
- AUD -.--% - - 0,70%
- CAD -.--% - - 0,70%
- NOK -.--% - - 0,70%
21.1 CAD -0.24% - - 0,70%
21.92 AUD +1.62%+1.15%-24.47%0,70%
5’983 JPY +3.40%+6.14%+12.00%0,70%
230.8 GBX +1.76%+1.45%-8.08%0,68%
15’515 JPY +6.82%+3.71%+30.05%0,68%
2’045 GBX +1.54%+1.09%+13.20%0,67%
12.25 EUR +1.11%-1.96%+0.82%0,67%
305.8 NOK -0.16%+2.34%-5.09%0,67%
66.02 SEK -0.27%+2.20%+4.61%0,67%
51.33 CAD +0.21%+2.05%+12.54%0,63%
41’950 JPY +1.38%+2.59%+19.89%0,62%
3’552 JPY -0.59%+0.74%+13.41%0,59%
158.5 JPY +1.47%+5.04%-8.01%0,59%
5’047 JPY +1.75%+8.56%+15.47%0,58%
269.2 CHF +1.97%+3.38%-7.11%0,57%
685.3 GBX -0.52%-0.41%+7.84%0,56%
6’194 JPY -0.55%-0.48%-8.88%0,53%
3.601 EUR +0.42%+1.47%+15.49%0,52%
45.34 CAD +1.77%-0.33%-9.86%0,49%
61.21 AUD -0.05%-3.65%+15.43%0,48%
187.7 EUR +1.33%+0.88%+34.54%0,47%
25.48 AUD -0.27%-4.71%-20.57%0,47%
3’130 JPY -0.82%+1.49%+10.74%0,46%
147.5 GBX +1.97%+3.76%+0.31%0,46%
4.25 AUD +1.92%-6.18%-4.49%0,44%
3.78 AUD +1.34%+1.07%+13.51%0,44%
526.4iS_vDtvo_Kd_1X0n9DfS5VLNeGthKOsMH239FoUc3Q.g3XR81Igy5Ckiwqy9r2cAcMzYNjOwM_NWDv8pApWXiKbCfT_XRzXndiKHA

Beschreibung

ISIN Code US33739P6088
Verwaltungsgebühren 0.83%
Anlageklassen Actions
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Dividenden-Politik Distribution
Gerichtsstand
Fondsstruktur
Erstellungsdatum
13.04.2016
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 117 M€
Volumen 1M 115 M€
Volumen 3M 117 M€
Volumen 6M 111 M€
Volumen 12M 114 M€
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