Einzelwerte Global X MSCI Next Emerging & Frontier ETF - USD

ETF

A110MS

US37950E2182

EMFM

Verzögert Nyse 21:10:00 22.03.2024 % 5 Tage % 1. Jan.
18.49 USD +0.16% Intraday Chart für Global X MSCI Next Emerging & Frontier ETF - USD +0.32% -2.17%

Zusammensetzung des Global X MSCI Next Emerging & Frontier ETF - USD

Gewichtung
63.49 MXN 0.00%-6.02%-11.29%2,02%
16.18 AED -0.98%-3.69%-17.62%1,85%
37.3 SAR 0.00%-2.74%-7.67%1,85%
3’160 IDR +1.28%+3.95%-20.00%1,78%
172.6 MXN 0.00%-1.42%+1.08%1,59%
9’850 IDR +3.14%+0.77%+4.79%1,57%
0.858 KWD -0.69%-0.58%+0.78%1,43%
253 ZAR +1.16%+4.99%-8.01%1,42%
864.5 CZK +1.17%+1.83%-9.81%1,38%
28’650 VND +1.06%+0.35%+2.50%1,30%
79.8 SAR -0.13%+2.97%-7.75%1,30%
65.03 ZAR -0.15%+6.08%-11.54%1,28%
312 MXN 0.00%+0.63%+5.24%1,25%
27.4 PHP -1.97%-3.01%-16.72%1,20%
4’750 IDR -0.21%-7.77%-17.03%1,17%
386.7 PLN -0.82%+5.63%-16.06%1,14%
12.32 MYR +2.50%+3.88%+22.71%1,12%
5.73 AED +2.14%+10.62%+7.10%1,09%
12.25 QAR -0.41%+2.08%-6.35%1,07%
41’100 VND -0.12%+0.98%-4.86%1,05%
571.7 MXN 0.00%-4.19%+14.92%1,04%
5’225 IDR +0.97%+5.56%-7.52%1,02%
179 ZAR -0.91%+3.76%-13.99%0,96%
0.706 RON +2.17%+2.77%+22.89%0,94%
417.2 TRY +3.34%+11.94%+38.74%0,94%
201.3 TRY -1.32%+6.17%+40.77%0,94%
24.44 MXN 0.00%-4.61%-20.05%0,93%
4.12 MYR +0.49%-2.60%-3.96%0,89%
34.2 PLN +0.54%+5.88%+2.63%0,88%
36.2 SAR -2.82%-2.03%-6.34%0,88%
26.85 PHP -3.07%-5.62%-22.06%0,83%
44’450 VND +0.11%+5.83%-0.34%0,82%
65’600 VND +0.31%+1.39%-2.96%0,81%
480 ISK -0.41%-1.64%+1.69%0,80%
296.4 ZAR +0.68%+3.67%-9.00%0,80%
942 PHP +0.64%-0.58%+8.03%0,80%
60.06 PLN -1.05%-3.13%+19.36%0,75%
60.31 ZAR +1.04%+5.44%-16.47%0,71%
157.9 ZAR -1.60%-7.48%+32.07%0,70%
69’800 VND +2.65%+2.50%+4.18%0,70%
2.38 AED +3.93%-0.83%-25.16%0,68%
6’150 IDR -2.77%-11.51%+1.65%0,67%
125.5 ZAR -1.85%-0.43%-0.73%0,67%
17.82 QAR -1.55%-0.11%-17.12%0,65%
8042f834257d23e6e29.0tBdWvqItaMyEjWkPVhIUal2phiHU7764TySFZpbI4c.pOVqDZvl0pZEfnnwDAgBHdo34nnyGfWziHfcOPkeeeSo5mkusMn75GJoBQ

ETF Ratings

Beschreibung

ISIN Code US37950E2182
Verwaltungsgebühren 0.55%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Select Emerging and Frontier Market Access NTR - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
06.11.2013
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.01.2024 )

Volumen (EUR) 15 M€
Volumen 1M 21 M€
Volumen 3M 20 M€
Volumen 6M 22 M€
Volumen 12M 21 M€
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  4. Einzelwerte Global X MSCI Next Emerging & Frontier ETF - USD