Einzelwerte FundX Aggressive ETF - USD

ETF

XNAV

US3608768822

XNAV

Verzögert Nyse 22:10:00 14.05.2024 % 5 Tage % 1. Jan.
63.76 USD +0.86% Intraday Chart für FundX Aggressive ETF - USD +1.06% +11.64%

Zusammensetzung des FundX Aggressive ETF - USD

Gewichtung
190 USD +1.40%+4.01%-1.28%8,89%
423.3 USD +1.80%+3.13%+12.59%8,83%
186 USD -0.56%-1.21%+22.23%3,66%
946.9 USD +3.65%+4.73%+91.21%3,35%
481.4 USD +2.03%+1.69%+35.77%2,73%
172.5 USD +1.26%+1.73%+23.35%2,57%
174 USD -2.01%-0.11%-29.76%2,15%
1’433 USD +3.85%+7.96%+28.19%1,79%
485.6 USD +2.03%-0.39%-18.51%1,47%
787.8 USD +1.27%+3.15%+19.30%1,11%
159.2 USD +3.95%+3.59%+7.95%1,08%
655.3 USD +3.13%+3.64%+4.87%1,01%
287.3 USD +3.78%+2.96%+9.15%0,87%
784 USD +2.79%+0.92%+34.18%0,86%
614.1 USD +0.07%+1.33%+26.84%0,80%
281.6 USD +1.37%+1.51%+8.07%0,73%
195.3 USD +2.20%+6.13%+14.53%0,63%
456.8 USD +0.57%+0.40%+7.05%0,63%
31.1 USD +0.14%+3.85%-38.00%0,63%
216.7 USD +3.26%+4.43%+33.61%0,58%
194 USD +2.69%+7.92%+34.72%0,54%
312.9 USD +3.78%+3.19%+6.04%0,54%
179.6 USD -0.18%+1.25%+5.76%0,54%
759.7 USD +5.28%+5.18%+7.35%0,51%
942 USD +3.23%+3.18%+20.31%0,49%
162.7 USD +0.16%-0.12%+1.43%0,48%
3’783 USD +0.27%+3.28%+6.57%0,47%
580.2 USD +3.68%+5.39%+12.68%0,46%
398.4 USD +3.70%+4.43%+17.75%0,45%
293.9 USD +3.72%+3.89%+7.78%0,44%
49.6 USD +1.34%+3.36%-1.79%0,41%
437.2 USD +2.01%+4.38%+7.44%0,39%
307 USD +0.01%-1.64%-12.55%0,39%
516.5 USD +0.51%+2.62%-1.91%0,38%
755.4 USD +3.49%+5.45%+30.10%0,38%
121.5 USD +0.53%+3.62%+15.38%0,37%
75.66 USD +0.05%+2.97%-21.17%0,37%
319.9 USD +2.73%+4.05%+11.02%0,36%
39.22 USD -1.20%+0.44%-10.56%0,35%
251.7 USD +1.96%+0.73%-8.91%0,34%
3’408 JPY +0.56%-5.31%+31.56%0,33%
1’590 JPY -0.93%+2.02%+31.28%0,33%
343.8 USD +4.34%+9.42%+34.46%0,31%
220.4 USD +2.10%+3.02%-9.47%0,31%
246.6 USD +0.46%+1.66%+6.01%0,29%
215.4 USD +1.64%+5.13%+8.47%0,29%
4’395 JPY +1.06%+2.02%+20.58%0,29%
f651.I5tZ6pe3K4AH5Az1WZvlxkU4tNkCgnbRodtJqDFMQsA.Eqk1ocHBWewyh1OTYOuqkR1UgbBS9CCHjKElwXIiGI5U9B-E5YVuzj_daw

Beschreibung

ISIN Code US3608768822
Verwaltungsgebühren 1.52%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Erstellungsdatum
16.10.2022
Dividenden-Politik
Rohstoff
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 23 M€
Volumen 1M 24 M€
Volumen 3M 22 M€
Volumen 6M 20 M€
Volumen 12M 22 M€
  1. Börse
  2. ETF
  3. XNAV ETF
  4. Einzelwerte FundX Aggressive ETF - USD