Einzelwerte HSBC EMERGING MARKET SUSTAINABLE EQUITY UCITS ETF - USD

ETF

A2PXVK

IE00BKY59G90

HSEF

Markt geschlossen - London S.E. 17:35:11 10.05.2024 % 5 Tage % 1. Jan.
14.16 USD +0.80% Intraday Chart für HSBC EMERGING MARKET SUSTAINABLE EQUITY UCITS ETF - USD +0.63% +7.00%

Zusammensetzung des HSBC EMERGING MARKET SUSTAINABLE EQUITY UCITS ETF - USD

Gewichtung
35.9 SAR -0.14%-0.83%-7.12%0,20%
71.8 TWD +2.72%+4.06%+10.80%0,20%
125.5 TWD -0.40%+1.21%+4.58%0,20%
3.39 AED -0.88%-2.02%-8.38%0,20%
548.6 INR +1.67%-3.07%-15.18%0,20%
3’064 HUF +2.13%+1.26%+8.42%0,20%
4’480 IDR -4.68%-5.49%-30.00%0,20%
6.77 MYR +0.30%+1.80%+15.73%0,20%
0.736 KWD +1.24%+2.65%+10.49%0,19%
16.88 HKD +1.44%+4.58%+29.45%0,19%
4.18 MYR +0.24%+1.46%-2.56%0,19%
3.74 HKD +5.06%+10.00%+24.25%0,19%
237.2 TRY +0.68%+1.93%+67.28%0,19%
2.48 MYR -0.40%+3.33%+19.81%0,18%
192.6 INR -0.39%-5.52%+18.78%0,18%
3’291 INR +1.45%-6.91%-10.47%0,18%
8.52 HKD +0.95%+5.06%+6.77%0,18%
131.8 ZAR -3.07%+2.98%-28.86%0,18%
250.6 INR -0.95%-6.20%-9.45%0,18%
122.2 PHP -0.65%-4.16%+17.73%0,17%
470.5 TWD -0.95%+9.67%-3.88%0,17%
154 SAR +0.65%+1.32%-19.37%0,17%
19.06 CNY +0.79%+0.26%-6.43%0,17%
32.1 HKD +7.18%+7.90%+14.64%0,16%
13.23 MXN +0.92%-0.60%+0.08%0,16%
11.7 HKD +2.45%+14.48%+49.04%0,16%
1’715 INR +0.15%-4.73%+7.37%0,16%
136.3 USD -0.08%-2.79%-6.86%0,15%
1’195 INR -3.48%-0.01%+6.89%0,15%
4’670 IDR -0.64%-3.31%-13.12%0,15%
25.48 CNY +0.47%-1.20%+9.17%0,15%
502 INR +7.71%+1.70%-14.56%0,15%
148.5 ZAR -0.36%+2.60%-9.28%0,15%
5.34 MYR +0.19%+0.38%+11.02%0,14%
93.6 CLP +1.41%+2.58%-4.00%0,14%
215 ZAR +4.06%+12.96%+7.50%0,14%
47.8 TWD +0.95%+5.05%-11.15%0,14%
903 SAR -2.06%-4.14%+10.80%0,14%
4.47 HKD +6.18%+9.56%+19.84%0,14%
27.99 CNY -0.29%-2.37%+5.70%0,14%
14.43 EUR -0.48%+0.91%+11.86%0,13%
9.87 MYR +0.30%+0.71%+11.02%0,13%
21.46 MYR 0.00%-1.83%-1.74%0,13%
20.76 USD +1.91%+1.76%+24.98%0,13%
0542c.JIgFvY6By-lwzlvn1trW7rib9qb-XAZXGSsKVRNI0Wc.duNW_un3mpgJt2O9lam12MrUrse6bHwILkg5JiUQiR0R10jF9rm820O4Ag

ETF Ratings

Beschreibung

ISIN Code IE00BKY59G90
Verwaltungsgebühren 0.18%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE Emerging ESG Low Carbon Select Net Tax Index - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
27.08.2020
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 0 M€
Volumen 1M 0 M€
Volumen 3M 0 M€
Volumen 6M 0 M€
Volumen 12M 0 M€
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