Einzelwerte First Trust S&P REIT Index Fund ETF - USD

ETF

A0YCZQ

US33734G1085

FRI

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24.16 USD -1.59% Intraday Chart für First Trust S&P REIT Index Fund ETF - USD -0.12% -7.93%

Zusammensetzung des First Trust S&P REIT Index Fund ETF - USD

Gewichtung
102 USD -2.82%-2.65%-23.44%11,43%
711.1 USD -2.10%-6.67%-11.71%7,01%
95.28 USD -0.52%+2.53%+5.67%4,64%
259.4 USD -1.32%-1.06%-14.93%4,48%
140.5 USD -2.97%-2.26%-1.48%4,35%
53.54 USD -0.95%+0.28%-6.76%3,97%
138.8 USD -2.50%+0.18%+3.12%3,75%
134.3 USD -2.26%+0.75%-16.25%3,16%
28.55 USD -1.72%-0.10%-10.45%3,10%
64.4 USD -1.38%+2.08%+5.30%1,99%
44.28 USD -0.87%+1.65%-11.16%1,86%
77.52 USD -0.58%+1.20%+10.77%1,85%
34.2 USD -1.10%+0.21%+0.26%1,84%
111.3 USD -7.47%-7.26%-16.71%1,56%
246.2 USD -0.71%+1.69%-0.68%1,48%
130 USD -0.86%+1.97%-3.32%1,46%
54.84 USD -1.54%-2.61%-15.38%1,34%
18.87 USD -1.67%-2.18%-3.08%1,32%
18.63 USD -0.96%-.--%-12.58%1,31%
42.73 USD -1.09%-1.86%-13.41%1,22%
60.29 USD -0.69%-2.40%-14.53%1,22%
42.81 USD -1.34%-2.10%-23.69%1,11%
38.08 USD -0.55%+2.17%-0.55%1,08%
35.8 USD -0.86%+0.56%-0.44%1,07%
18.61 USD -1.74%+0.87%-6.01%1,02%
59.22 USD +0.36%-1.43%-11.61%1,01%
99.68 USD -0.60%+1.10%+0.39%0,99%
40.44 USD -1.94%-3.25%-12.75%0,98%
61.89 USD -1.51%-1.65%-11.80%0,96%
155.4 USD -1.56%-6.27%-15.35%0,79%
21.97 USD -1.88%-3.60%-27.42%0,75%
40.53 USD -0.27%-1.05%-5.96%0,74%
104.2 USD +0.85%+1.26%+1.09%0,71%
30.41 USD -1.20%-0.91%-0.82%0,70%
34.39 USD -0.75%-2.88%-12.40%0,66%
45.42 USD -2.30%-2.26%-13.76%0,65%
22.1 USD -0.23%+1.24%-5.03%0,64%
105.5 USD -1.54%-2.55%-4.16%0,63%
14.23 USD -0.14%-1.04%-17.41%0,61%
54.35 USD -1.36%-3.82%-13.28%0,49%
38.38 USD -0.05%-0.05%+10.51%0,48%
21.8 USD +0.46%+0.51%-4.64%0,46%
26.03 USD -3.56%-4.34%-7.86%0,42%
33.8 USD -1.72%+0.21%-15.16%0,41%
32.7 USD +0.06%-2.36%-10.36%0,40%
22.94 USD -1.46%+1.06%-5.79%0,35%
14.76 USD -2.12%-4.59%-11.14%0,34%
40.59 USD -1.10%-1.29%-16.22%0,34%
16.13 USD -3.24%-3.59%+5.42%0,32%
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Beschreibung

ISIN Code US33734G1085
Verwaltungsgebühren 0.50%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert S&P United States REIT Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
08.05.2007
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 112 M€
Volumen 1M 110 M€
Volumen 3M 115 M€
Volumen 6M 107 M€
Volumen 12M 112 M€
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