Einzelwerte Franklin FTSE Taiwan ETF - USD

ETF

A2QKPM

US35473P6869

FLTW

Markt geschlossen - Nyse 22:00:00 21.05.2024 % 5 Tage % 1. Jan.
45.2 USD -0.62% Intraday Chart für Franklin FTSE Taiwan ETF - USD +2.01% +9.42%

Zusammensetzung des Franklin FTSE Taiwan ETF - USD

Gewichtung
1’435 TWD -1.71%+4.74%-17.53%0,55%
208 TWD -2.12%-3.26%+44.95%0,53%
83.5 TWD -0.24%+0.12%+4.64%0,51%
1’135 TWD -5.81%-3.40%+12.38%0,50%
167.5 TWD -0.59%-0.59%-17.89%0,50%
330 TWD +1.54%+3.12%+24.06%0,48%
17.9 TWD -1.65%+0.85%-1.38%0,46%
54.5 TWD +2.06%-7.63%+3.22%0,46%
517 TWD -1.34%+0.78%-11.93%0,45%
18.45 TWD -0.81%+0.27%+3.07%0,44%
8.92 TWD -1.33%-0.11%+0.79%0,44%
13.35 TWD -0.74%-1.11%-6.64%0,44%
222 TWD +1.60%-3.48%+14.43%0,44%
1’680 TWD +2.44%+7.01%-1.75%0,42%
466 TWD -3.42%-4.90%-17.08%0,41%
69.5 TWD -1.00%-0.29%-13.88%0,41%
190 TWD -0.78%-0.78%+8.57%0,40%
199 TWD 0.00%+5.29%+1.53%0,39%
44.6 TWD -1.87%-2.19%+7.60%0,37%
83.3 TWD -0.83%-2.34%+18.66%0,35%
173.5 TWD +1.76%+4.83%+23.05%0,35%
3’120 TWD -5.74%-2.65%0.00%0,34%
25.45 TWD -0.20%-0.59%-16.42%0,34%
34.4 TWD -0.15%+0.44%+10.26%0,34%
58.9 TWD -1.34%-1.83%+40.24%0,34%
71.4 TWD -1.52%+0.14%+39.18%0,34%
63.5 TWD +0.32%-2.01%-18.59%0,33%
155.5 TWD -1.89%-2.51%-11.14%0,32%
25.55 TWD +0.39%+2.82%-13.24%0,31%
725 TWD -0.82%-4.48%-39.58%0,31%
54 TWD +1.12%+4.85%+20.27%0,30%
430 TWD +2.87%+24.10%+24.28%0,30%
35.75 TWD -1.79%-1.79%+13.67%0,30%
38.05 TWD +4.68%-0.65%+23.14%0,30%
17 TWD -0.87%+0.29%+24.09%0,27%
98.9 TWD 0.00%+7.38%+21.35%0,27%
1’870 TWD -2.35%-5.08%+3.03%0,26%
116.5 TWD -2.51%-3.32%+6.88%0,25%
156.5 TWD -2.49%+2.62%-19.54%0,25%
231.5 TWD -1.91%-0.64%-1.49%0,24%
140.5 TWD -1.40%+0.36%-11.64%0,24%
22.8 TWD -1.08%+0.66%+5.31%0,22%
30.15 TWD -1.31%-0.82%-1.79%0,22%
44.35 TWD -2.10%+3.99%+17.48%0,22%
64.8 TWD +4.35%+6.40%+22.03%0,22%
221 TWD -0.67%-2.43%+20.11%0,21%
183.5 TWD -1.87%-3.42%-27.04%0,19%
53.6 TWD -2.19%-1.47%+14.53%0,19%
68.8 TWD -2.82%+0.58%+25.09%0,18%
63.5 TWD -0.31%-0.63%-6.07%0,18%
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ETF Ratings

Beschreibung

ISIN Code US35473P6869
Verwaltungsgebühren 0.19%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE Taiwan RIC Capped Net Tax Index - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
01.11.2017
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 205 M€
Volumen 1M 208 M€
Volumen 3M 174 M€
Volumen 6M 157 M€
Volumen 12M 121 M€
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