Einzelwerte HSBC MSCI TAIWAN UCITS ETF - USD

ETF

A1H8BP

IE00B3S1J086

HTWD

Markt geschlossen - London S.E. 17:35:19 14.06.2024 % 5 Tage % 1. Jan.
76.84 USD +0.78% Intraday Chart für HSBC MSCI TAIWAN UCITS ETF - USD +3.68% +19.19%

Zusammensetzung des HSBC MSCI TAIWAN UCITS ETF - USD

Gewichtung
922 TWD +0.33%+4.89%+55.48%33,41%
198 TWD +3.13%+11.55%+89.47%4,83%
1’395 TWD +0.72%+9.41%+37.44%3,93%
353.5 TWD 0.00%+2.46%+12.76%2,47%
290.5 TWD +2.29%+6.41%+29.40%2,44%
56.3 TWD -0.18%+2.18%+7.03%1,90%
76.9 TWD +0.92%+1.18%+18.67%1,75%
128 TWD +1.19%+1.19%+6.67%1,62%
58.2 TWD +0.17%0.00%+27.21%1,60%
37.3 TWD +0.54%+0.27%+31.57%1,54%
39.55 TWD +0.25%+0.51%+0.89%1,50%
166 TWD +1.22%+4.08%+22.96%1,33%
81.7 TWD +0.99%+1.74%+9.66%1,28%
28.75 TWD +0.17%-0.69%+11.43%1,25%
50.7 TWD +1.20%-0.20%-23.76%1,17%
23.25 TWD -0.21%-1.90%-13.89%1,14%
61 TWD +0.66%-2.71%-22.98%1,12%
108.5 TWD 0.00%-0.91%+10.04%1,06%
27.95 TWD +0.54%+0.54%+2.01%1,06%
493.5 TWD +1.33%+1.96%+0.82%1,04%
107.5 TWD +0.47%+0.47%-8.12%1,01%
25.95 TWD +0.78%+0.39%-2.81%1,00%
156.5 TWD +0.97%+2.29%-18.91%0,99%
182.5 TWD -0.82%-0.82%+3.69%0,92%
32 TWD 0.00%+0.63%+15.94%0,91%
556 TWD +2.39%+4.51%+6.31%0,88%
614 TWD +0.99%+1.32%+18.76%0,84%
52.1 TWD +0.77%+0.19%-16.37%0,79%
34 TWD +1.64%+2.87%-2.44%0,78%
635 TWD +0.79%+0.95%-10.44%0,78%
2’520 TWD +5.88%+6.55%-12.20%0,76%
18.75 TWD +0.81%-0.27%+3.59%0,74%
569 TWD -0.70%+7.36%+20.68%0,72%
15.25 TWD +0.33%-0.97%+21.51%0,70%
25.55 TWD +1.19%+1.39%+14.32%0,67%
24.1 TWD +0.42%+2.55%+22.34%0,67%
45.35 TWD -0.44%-1.84%-3.10%0,60%
361.5 TWD +0.98%+0.56%-2.82%0,60%
107.5 TWD +1.42%+0.47%+9.03%0,59%
115.5 TWD -0.86%+3.59%+32.30%0,57%
250 TWD +1.42%+16.28%+26.90%0,57%
272.5 TWD +0.93%-0.37%+1.11%0,56%
696 TWD +2.65%+2.65%+16.58%0,56%
2’765 TWD +1.84%+5.13%+51.51%0,53%
55.4 TWD -0.54%+4.53%+4.92%0,53%
35.75 TWD -0.28%-0.97%-10.29%0,51%
1’565 TWD +0.97%-2.49%-10.06%0,47%
1’050 TWD +2.44%+3.96%+3.96%0,47%
9.43 TWD +1.62%-3.08%+6.55%0,46%
13.6 TWD +3.03%-0.37%-4.90%0,46%
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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 ( 31.05.2024 )

Volumen (EUR) 124 M€
Volumen 1M 21 M€
Volumen 3M 26 M€
Volumen 6M 24 M€
Volumen 12M 22 M€
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