Einzelwerte HSBC MSCI EUROPE UCITS ETF EUR (Acc) - EUR

ETF

A3DN5F

IE000ZQOIPB1

HMES

Verzögert London S.E. 17:35:11 31.05.2024 % 5 Tage % 1. Jan.
20.84 USD +0.22% Intraday Chart für HSBC MSCI EUROPE UCITS ETF EUR (Acc) - EUR -0.50% +7.99%

Zusammensetzung des HSBC MSCI EUROPE UCITS ETF EUR (Acc) - EUR

Gewichtung
916.5 DKK -1.16%-0.27%+31.39%3,19%
95.87 CHF +0.32%+3.90%-1.59%2,92%
883.4 EUR +1.45%+0.09%+29.59%2,86%
736.6 EUR +0.23%-2.58%+0.42%2,11%
2’840 GBX +1.00%+2.08%+10.38%2,05%
12’146 GBX -0.36%+0.88%+14.47%1,98%
92.65 CHF -0.56%+0.66%+9.16%1,95%
231.8 CHF +0.35%+0.74%-5.28%1,93%
168.4 EUR +1.45%-6.62%+20.79%1,52%
694.7 GBX -0.24%+1.09%+9.44%1,49%
66.97 EUR -0.06%+0.86%+8.72%1,47%
177.8 EUR +0.85%-0.72%+4.54%1,35%
4’302 GBX +0.55%+1.22%+13.37%1,14%
447.1 EUR -1.11%-0.51%-0.80%1,13%
88.95 EUR -0.90%-1.01%-0.90%1,06%
227.2 EUR -0.09%-4.38%+25.01%1,03%
270.2 EUR +0.69%+1.54%+11.72%1,02%
28.64 CHF +0.51%+0.70%+9.69%0,96%
182.4 EUR +1.06%-0.71%+3.55%0,96%
490.2 GBX +0.43%+0.64%+5.14%0,96%
157.1 EUR +0.74%-1.51%+12.36%0,86%
5’461 GBX -0.27%-2.49%-6.71%0,79%
2’628 GBX -0.08%+0.36%-7.62%0,77%
12.18 EUR +0.69%-0.33%+2.44%0,75%
22.6 EUR +1.37%+3.77%+3.82%0,73%
473 CHF -0.14%+0.25%+7.73%0,72%
1’601 GBX -9.38%-8.02%+10.36%0,71%
3’420 GBX +0.12%-0.09%+10.06%0,71%
68.4 EUR +1.03%+2.03%+9.31%0,69%
143.9 CHF -0.10%+0.10%+24.36%0,68%
49.71 CHF +0.63%-0.24%+33.24%0,67%
4.862 EUR +0.57%+2.17%+28.67%0,64%
2’163 EUR -0.60%-1.68%+12.73%0,63%
115.2 EUR +0.66%-0.22%+1.32%0,60%
481.6 GBX +0.18%-1.54%+1.98%0,59%
2’440 GBX +1.01%+2.23%+6.03%0,59%
6.704 EUR +0.72%+0.65%-0.39%0,57%
217.1 EUR +1.40%-0.73%+36.15%0,57%
206.7 EUR +0.68%-1.57%+13.82%0,56%
33.39 EUR +1.03%-0.89%+13.22%0,55%
458 EUR +0.02%-0.84%+22.26%0,53%
58.04 EUR +0.73%-3.07%-0.65%0,53%
66.56 EUR +0.25%+0.48%+6.49%0,52%
37.19 EUR +1.00%-2.44%-1.77%0,51%
9.973 EUR +0.33%+0.08%+21.42%0,51%
16.58 EUR +1.34%+2.16%+22.61%0,51%
20.3 EUR +0.52%-2.64%-4.00%0,49%
896.6 GBX +1.61%+2.42%-15.14%0,47%
271.4 CHF -0.53%-4.32%-0.44%0,47%
4’450 GBX -0.04%+1.62%-17.90%0,47%
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Beschreibung

ISIN Code IE000ZQOIPB1
Verwaltungsgebühren 0.10%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Daily Net Total Return Europe Euro Index - EUR

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
12.07.2022
Dividenden-Politik
Geographischer Fokus

Distribution

Qualifizierter Investor

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 9 M€
Volumen 1M 9 M€
Volumen 3M 5 M€
Volumen 6M 1 M€
Volumen 12M 1 M€
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