Einzelwerte HSBC MSCI AC APACExJpnClmtPrsAlgndETFUSD

ETF

HPAJ

IE000XFORJ80

HPAJ

Schlusskurs London S.E. 00:00:00 11.12.2023 % 5 Tage % 1. Jan.
14.35 USD +0.03% Intraday Chart für HSBC MSCI AC APACExJpnClmtPrsAlgndETFUSD +0.09% -2.41%

Zusammensetzung des HSBC MSCI AC APACExJpnClmtPrsAlgndETFUSD

Gewichtung
374.8 HKD -1.78%+4.17%+27.66%4,27%
125.6 AUD +0.56%+5.03%+12.30%2,38%
222’000 KRW +9.36%+16.05%-22.92%1,14%
29.18 AUD +0.41%+3.29%+12.58%1,10%
207’500 KRW +7.12%+9.67%+46.64%1,04%
67.14 AUD +1.31%+3.47%+17.71%1,01%
35.52 SGD +0.06%-1.31%+16.95%1,01%
2’874 INR +2.76%+3.41%+42.72%0,97%
110.4 HKD -2.04%+5.04%+34.80%0,97%
196.3 AUD +0.54%+2.79%+6.88%0,77%
270.8 HKD -0.81%+3.04%+1.04%0,74%
26.97 AUD 0.00%+3.81%+17.77%0,73%
1’426 INR +3.94%+3.93%+38.05%0,65%
6.65 NZD -2.21%-0.45%+0.76%0,64%
6.3 NZD -2.70%-6.80%+13.72%0,62%
1’864 INR -0.05%-2.31%+16.73%0,51%
6’875 INR +1.19%-1.33%+70.82%0,50%
22.75 HKD -0.87%-6.38%-5.41%0,50%
30.15 TWD +0.50%+0.50%-1.79%0,49%
2’928 INR +0.79%+1.61%-13.95%0,46%
4’971 INR +2.02%+9.22%+62.66%0,46%
2’496 INR +0.84%+6.10%+21.65%0,42%
1’339 INR +0.36%+8.00%+6.26%0,41%
2’577 INR +1.06%+10.65%-3.26%0,41%
6’230 INR +1.71%+9.35%+21.20%0,39%
491 TWD +7.32%+4.03%-1.80%0,35%
12’030 KRW +0.84%-2.04%+16.46%0,34%
4.29 AUD -0.92%+2.39%-7.54%0,34%
175’400 KRW -0.96%+3.06%-21.70%0,34%
58.2 TWD +1.22%+3.56%+27.21%0,33%
191’100 KRW +0.42%+8.46%-5.16%0,33%
16.74 CNY -2.56%-9.95%-26.90%0,31%
184 INR +0.19%+2.71%+48.75%0,30%
4.68 CNY +2.18%+0.21%+7.09%0,30%
843.4 INR +1.72%+3.41%+16.11%0,28%
1’378 INR +4.57%+12.14%+8.25%0,28%
28.31 CNY +1.00%+6.39%+21.29%0,27%
3.21 AUD -0.31%+1.90%+7.36%0,26%
27.8 TWD +1.09%+1.09%+1.46%0,25%
15.36 HKD +1.86%+4.21%+11.63%0,23%
25.2 TWD +1.41%+0.80%+12.75%0,23%
215 TWD 0.00%-2.05%+9.14%0,22%
1’187 INR +1.29%+2.15%+7.59%0,22%
9.67 SGD -0.62%+1.15%-1.63%0,20%
4’747 INR +1.28%+10.35%+16.28%0,20%
8ba53c02ba25057.zqtfHOV1loI2bIbeNI4t-uImt5RVgRDz_BVi6qi4_GM.iN5nVKoUpMZTAPC7Wf1hza4Xxrkv2XearHEWiJzbyQSi2xJa3DGkw387sg

Beschreibung

ISIN Code IE000XFORJ80
Verwaltungsgebühren 0.25%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert 100% MSCI AC Asia Pacific ex Japan Climate Paris Aligned Index TR - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
11.04.2022
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 15 M€
Volumen 1M 15 M€
Volumen 3M 15 M€
Volumen 6M 14 M€
Volumen 12M 14 M€
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  4. Einzelwerte HSBC MSCI AC APACExJpnClmtPrsAlgndETFUSD
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