Einzelwerte HSBC Developed World Sustainable Equity UCITS ETF - USD

ETF

A2PXVJ

IE00BKY59K37

HSWD

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21.03 EUR -0.08% Intraday Chart für HSBC Developed World Sustainable Equity UCITS ETF - USD +0.66% +11.05%

Zusammensetzung des HSBC Developed World Sustainable Equity UCITS ETF - USD

Gewichtung
631.6 CHF -0.91%+0.96%+8.15%-.--%
12’600 GBX +0.35%+3.36%+18.87%-.--%
48.5 EUR +0.21%-1.54%-7.93%-.--%
9’400 GBX -0.34%+2.60%+1.36%-.--%
74.55 EUR -0.60%+0.34%+15.31%-.--%
27.21 AUD +0.37%-1.77%-12.40%-.--%
66.12 EUR -0.45%-1.11%+12.60%-.--%
1’790 GBX +0.14%+1.97%-3.58%-.--%
168.1 EUR -1.26%+1.49%+5.28%-.--%
28.03 CHF -1.37%-1.51%+7.39%-.--%
100.6 USD +0.01%-1.10%+35.42%-.--%
5.27 EUR +0.19%-0.45%+41.44%-.--%
381.6 USD -0.31%-1.33%+7.93%-.--%
460.5 EUR -0.32%+0.52%+22.77%-.--%
27.48 EUR -2.19%-4.02%-18.30%-.--%
65.24 USD +2.26%-4.94%+18.94%-.--%
33.58 EUR -0.15%-2.44%-5.83%-.--%
37.72 EUR -0.78%+2.15%-0.22%-.--%
39.21 EUR -0.73%+1.45%-12.58%-.--%
16.4 EUR +1.05%-2.24%-8.51%-.--%
1’621 GBX -0.49%-8.24%+11.78%-.--%
105.6 CAD -0.62%-0.52%+0.75%-.--%
4’420 GBX -1.91%-0.72%-18.45%-.--%
270.2 CHF -0.26%-0.26%-1.28%-.--%
232.8 EUR -0.72%0.00%+7.63%-.--%
50.36 CHF -0.16%+1.14%+35.01%-.--%
22.61 EUR +0.09%-0.13%+3.95%-.--%
41.76 EUR +1.36%-9.14%+5.00%-.--%
102.6 EUR -0.68%-2.05%+22.20%-.--%
181.1 EUR -1.95%-0.55%+10.36%-.--%
34.04 EUR +0.06%-3.46%-0.06%-.--%
129.6 GBX -1.82%-0.73%+4.89%-.--%
171.9 EUR +0.35%+2.66%+19.29%-.--%
3’650 GBX -0.35%+1.19%+13.99%-.--%
149.7 USD +0.34%+0.38%+6.53%-.--%
16.9 EUR -0.47%+0.78%+13.35%-.--%
502 CHF -0.30%+0.40%-0.79%-.--%
104.8 EUR -5.37%-8.79%-7.83%-.--%
6.56 AUD +1.23%+5.81%+15.90%-.--%
51.64 EUR +0.82%-3.87%+39.93%-.--%
9.938 EUR -1.21%-8.95%-3.55%-.--%
35.23 AUD +0.66%+3.89%+14.76%-.--%
24.08 EUR -7.46%-10.70%+0.23%-.--%
18.58 AUD +0.92%+4.38%+25.46%-.--%
470.8 GBX +1.76%-3.54%+1.01%-.--%
4’362 CHF +1.11%+3.51%+25.20%-.--%
28.06 EUR -0.50%+1.37%+22.69%-.--%
178.8 USD +1.08%+3.75%-9.39%-.--%
174.4 EUR 0.00%-2.09%+2.66%-.--%
94.3 CHF -0.68%+1.69%+11.11%-.--%
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ETF Ratings

Beschreibung

ISIN Code IE00BKY59K37
Verwaltungsgebühren 0.18%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE Developed ESG Low Carbon Select Net Tax Index - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
09.07.2020
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 154 M€
Volumen 1M 176 M€
Volumen 3M 162 M€
Volumen 6M 107 M€
Volumen 12M 94 M€
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