Einzelwerte Global X MSCI SuperDividend EAFE ETF - USD

ETF

A2DKJ5

US37954Y6995

EFAS

Verzögert Nasdaq 22:15:00 18.04.2024 % 5 Tage % 1. Jan.
14.15 USD +0.21% Intraday Chart für Global X MSCI SuperDividend EAFE ETF - USD -3.68% -2.21%

Zusammensetzung des Global X MSCI SuperDividend EAFE ETF - USD

Gewichtung
2’042 JPY -0.32%+0.52%+1.28%3,85%
24.23 EUR -0.49%-0.64%+14.56%3,01%
4’590 JPY +1.15%+0.17%+1.62%2,98%
4’153 JPY +1.49%+1.52%-4.99%2,77%
31.26 CHF -0.26%-9.39%-24.25%2,49%
13.5 EUR -0.63%-0.59%+20.44%2,43%
1’418 JPY -0.42%-4.16%+12.62%2,38%
1’818 JPY -0.30%-2.73%+3.32%2,26%
22.67 EUR +0.62%-0.40%+18.66%2,20%
33.9 EUR +0.24%+0.71%+14.95%2,19%
199.8 GBX +0.35%-0.27%-10.14%2,14%
24.78 EUR -0.56%+0.20%-5.56%2,13%
74.14 EUR -0.90%-1.63%+18.53%2,13%
459.7 GBX +0.55%-0.11%+5.75%2,09%
448.4 CHF +1.22%-0.69%+2.00%2,08%
15.62 EUR +0.06%-1.36%+14.97%2,03%
42.76 EUR +0.16%-0.95%+19.61%2,01%
283.3 NOK -0.46%-6.41%-4.13%2,00%
14.04 EUR +0.93%+2.00%+9.20%1,99%
11.65 EUR -0.04%+0.65%+13.38%1,99%
244.6 GBX -0.16%-1.21%-2.59%1,97%
15.93 EUR +0.70%+0.31%+0.08%1,92%
42.6 HKD +0.12%-7.69%-1.39%1,91%
43.3 HKD +0.46%-4.84%-4.31%1,90%
15.7 HKD +0.77%+1.68%+16.47%1,89%
124.1 NOK +1.97%+1.14%+6.43%1,89%
50.44 EUR -1.23%-2.34%+3.40%1,85%
1.905 AUD -0.78%-3.05%-6.62%1,83%
43.06 EUR -0.14%+1.37%+9.54%1,83%
4.65 NZD -0.43%-1.48%-10.23%1,82%
43.58 EUR -0.68%-3.16%+9.58%1,79%
10.86 EUR +1.64%+4.02%+5.35%1,79%
1’040 GBX +0.97%+0.24%-1.70%1,79%
8.68 HKD -1.36%-3.77%-6.87%1,73%
136.2 GBX -1.45%-2.33%-23.76%1,71%
2’310 GBX +0.74%+0.13%+0.63%1,71%
481.2 GBX +0.38%-4.43%-10.09%1,68%
43.46 EUR -0.14%-7.81%-10.72%1,66%
29.4 AUD -0.17%-3.89%-5.34%1,65%
4.284 EUR +0.80%-0.09%-7.97%1,62%
337.3 NOK -0.33%-0.06%-6.62%1,58%
92’200 JPY -0.22%-2.12%-9.52%1,58%
67 GBX +0.93%-0.33%-2.28%1,52%
22.15 HKD -0.67%-6.34%-7.90%1,52%
3.607 EUR -0.96%-0.22%-20.81%1,46%
109.6 EUR +3.35%+0.18%-4.07%1,43%
1’768 ILa -0.28%-2.59%-2.75%1,14%
02.oRwRtLhxO21vWVRKiWERrQOTDIDUJLqC2Nky1Wl3EoM.kGUn14w4UgIDYHkL5yxLw3SkPtqlHd_aqOpm5TggZfDCf1vyzS5tFCpqHQ

ETF Ratings

Beschreibung

ISIN Code US37954Y6995
Verwaltungsgebühren 0.57%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI EAFE Top 50 Dividend Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
14.11.2016
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 9 M€
Volumen 1M 9 M€
Volumen 3M 10 M€
Volumen 6M 10 M€
Volumen 12M 11 M€
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