Einzelwerte HSBC JAPAN SUSTAINABLE EQUITY UCITS ETF- Acc - USD

ETF

A2PXVN

IE00BKY55S33

XU8Z

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16.19 EUR +0.81% Intraday Chart für HSBC JAPAN SUSTAINABLE EQUITY UCITS ETF- Acc - USD +3.76% +13.52%

Zusammensetzung des HSBC JAPAN SUSTAINABLE EQUITY UCITS ETF- Acc - USD

Gewichtung
3’187 JPY -0.81%-3.66%+60.55%-.--%
2’140 JPY +0.05%+1.54%+13.71%-.--%
2’591 JPY +0.76%+4.37%-1.08%-.--%
2’362 JPY +0.06%+4.58%+18.16%-.--%
2’140 JPY -3.86%-3.63%+3.61%-.--%
1’850 JPY -0.99%+2.13%+29.74%-.--%
4’928 JPY +0.51%+3.33%+17.81%-.--%
634.8 JPY +0.78%+2.88%+16.91%-.--%
4’671 JPY +1.90%+2.48%+26.65%-.--%
4’025 JPY +0.25%+2.00%+2.11%-.--%
6’770 JPY +1.42%+5.98%+28.00%-.--%
1’996 JPY +0.88%+2.62%+9.43%-.--%
1’678 JPY +0.60%+4.61%+30.75%-.--%
3’009 JPY +0.45%-2.27%+18.05%-.--%
826.6 JPY +0.79%+3.32%+47.50%-.--%
3’552 JPY +1.54%+2.90%+33.73%-.--%
1’424 JPY -0.18%-0.87%-3.52%-.--%
6’524 JPY -2.89%-3.09%+12.48%-.--%
930.1 JPY -4.76%-2.94%-7.50%-.--%
4’588 JPY -4.95%-3.27%+7.90%-.--%
2’367 JPY +1.65%+1.74%+24.28%-.--%
8’853 JPY -2.72%+4.52%-9.64%-.--%
70’550 JPY +0.03%+0.64%+13.57%-.--%
1’864 JPY -0.61%+2.11%+7.92%-.--%
2’150 JPY +0.23%-1.65%-20.44%-.--%
943.2 JPY +0.90%+4.47%+15.76%-.--%
6’425 JPY +3.00%+11.06%+33.94%-.--%
159’200 JPY -0.13%+0.38%-4.38%-.--%
1’852 JPY -1.04%+0.05%-10.03%-.--%
2’942 JPY +0.48%+3.77%+37.55%-.--%
79’100 JPY -0.50%0.00%+2.59%-.--%
8’100 JPY +1.84%+0.81%+42.96%-.--%
1’544 JPY +2.25%+7.00%+29.21%-.--%
10’235 JPY -3.63%-5.97%-3.22%-.--%
5’640 JPY -0.09%-0.53%+2.84%-.--%
5’206 JPY -0.19%-1.14%-0.57%-.--%
1’851 JPY +2.63%+1.90%+22.73%-.--%
2’461 JPY -0.06%+0.59%+122.82%-.--%
6’238 JPY +0.63%+2.65%+5.43%-.--%
2’748 JPY +0.83%+2.00%+15.93%-.--%
2’250 JPY +1.03%-0.29%+6.01%-.--%
1’644 JPY +1.04%+2.56%+17.01%-.--%
2’131 JPY +0.24%+3.07%+17.35%-.--%
1’042 JPY +1.07%+0.92%+35.70%-.--%
6’819 JPY +0.28%+1.88%+23.53%-.--%
7’854 JPY +2.59%+8.17%+36.19%-.--%
5’707 JPY -2.26%+0.53%+22.73%-.--%
2’316 JPY +0.83%-2.22%+9.51%-.--%
445.2 JPY +0.20%+1.27%+7.85%-.--%
4’818 JPY +1.03%+0.84%+6.66%-.--%
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ETF Ratings

Beschreibung

ISIN Code IE00BKY55S33
Verwaltungsgebühren 0.18%
Anlageklassen Actions
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE Japan ESG Low Carbon Select NTR Index - USD

Merkmale

Dividenden-Politik Capitalisation
Replikationsmethode Physique
Gerichtsstand
Replikationsmodell
Erstellungsdatum
04.06.2020
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 234 M€
Volumen 1M 262 M€
Volumen 3M 258 M€
Volumen 6M 178 M€
Volumen 12M 143 M€
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