Einzelwerte HSBC MSCI TAIWAN UCITS ETF - USD

ETF

A1H8BP

IE00B3S1J086

HTWN

Markt geschlossen - Swiss Exchange 17:36:11 28.03.2024 % 5 Tage % 1. Jan.
69.04 USD -0.42% Intraday Chart für HSBC MSCI TAIWAN UCITS ETF - USD +0.86% +6.74%

Zusammensetzung des HSBC MSCI TAIWAN UCITS ETF - USD

Kurs
%
% 5 Tage
% 1 Jahr
Gewichtung
769 TWD -1.28%+1.45%+44.82%33,41%
155.5 TWD +4.71%+12.68%+50.24%4,83%
1’160 TWD -0.43%+2.65%+48.72%3,93%
342.5 TWD +0.29%+8.39%+14.17%2,47%
280 TWD +8.74%+12.45%+220.00%2,44%
52 TWD +0.97%-1.70%-1.89%1,90%
69.3 TWD -0.72%-0.43%+29.25%1,75%
125.5 TWD -1.18%+2.03%+4.58%1,62%
48.25 TWD +0.10%+1.58%+16.69%1,60%
32.4 TWD -0.61%+3.68%+51.05%1,54%
40.25 TWD -0.62%+0.25%+22.76%1,50%
155 TWD +0.65%-0.96%+42.20%1,33%
76.4 TWD -0.26%-0.13%+7.61%1,28%
27.15 TWD -0.18%+2.45%+14.08%1,25%
55.1 TWD -1.61%+2.80%-28.72%1,17%
23.8 TWD -0.42%+1.28%-22.98%1,14%
68.1 TWD -0.58%+1.95%-25.82%1,12%
120.5 TWD +2.99%+0.42%+192.48%1,06%
27.6 TWD -0.36%+1.47%+7.89%1,06%
423.5 TWD -0.24%+2.29%+57.14%1,04%
106 TWD -5.78%-13.82%+45.21%1,01%
26 TWD -0.38%+1.36%+4.20%1,00%
171.5 TWD -0.29%-0.29%-24.92%0,99%
190 TWD -0.78%-3.31%+30.58%0,92%
30.1 TWD -0.66%+4.15%+37.93%0,91%
458.5 TWD +1.21%+4.80%+50.33%0,88%
589 TWD -0.34%-1.01%+36.82%0,84%
54.7 TWD -0.73%+1.86%-21.18%0,79%
31.7 TWD 0.00%+2.59%-13.51%0,78%
647 TWD +0.47%+2.05%+4.75%0,78%
2’430 TWD -0.21%-5.45%+7.52%0,76%
17.95 TWD -0.55%+0.56%+13.70%0,74%
557 TWD -2.79%-5.27%+41.73%0,72%
13.85 TWD -4.81%0.00%+11.24%0,70%
22.9 TWD -0.43%+1.55%+3.62%0,67%
21.5 TWD 0.00%+4.12%+32.51%0,67%
48.25 TWD +0.52%+3.32%+4.32%0,60%
407 TWD +0.25%+3.04%+18.43%0,60%
102 TWD 0.00%+3.45%+1.49%0,59%
99.7 TWD +1.32%-3.67%+42.63%0,57%
227 TWD -0.44%-4.82%+22.70%0,57%
265.5 TWD -1.12%-0.19%-2.21%0,56%
594 TWD +2.24%+2.59%+11.44%0,56%
2’190 TWD +0.23%-0.23%+99.09%0,53%
58.5 TWD -0.34%+7.73%+89.94%0,53%
38.3 TWD +0.52%+1.06%+54.75%0,51%
1’220 TWD -1.61%-5.79%+3.39%0,47%
1’110 TWD -0.89%+3.74%-4.31%0,47%
8.06 TWD -0.74%+0.37%-2.54%0,46%
15.2 TWD -1.30%+5.19%+0.28%0,46%

ETF Ratings

Beschreibung

ISIN Code IE00B3S1J086
Verwaltungsgebühren 0.50%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Taiwan Capped NTR Index - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
30.03.2011
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson
Qualifizierter Investor

Entwicklungen der ausstehenden Beträge ( 29.02.2024 )

Volumen (EUR) 26 M€
Volumen 1M 25 M€
Volumen 3M 24 M€
Volumen 6M 21 M€
Volumen 12M 21 M€
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