Einzelwerte HSBC MSCI TAIWAN UCITS ETF - USD

ETF

A1H8BP

IE00B3S1J086

HTWN

Markt geschlossen - Swiss Exchange 17:40:13 26.04.2024 % 5 Tage % 1. Jan.
66.99 USD +1.38% Intraday Chart für HSBC MSCI TAIWAN UCITS ETF - USD +2.38% +3.57%

Zusammensetzung des HSBC MSCI TAIWAN UCITS ETF - USD

Gewichtung
782 TWD +2.09%+4.27%+31.87%33,41%
155 TWD +2.31%+8.39%+48.33%4,83%
1’005 TWD +2.45%+1.21%-0.99%3,93%
315 TWD +2.94%+5.53%+0.48%2,47%
257.5 TWD +0.78%+6.63%+14.70%2,44%
49.8 TWD +0.61%+1.43%-5.32%1,90%
67.6 TWD +1.81%+4.00%+4.32%1,75%
123.5 TWD 0.00%+0.41%+2.92%1,62%
48.9 TWD +0.72%+3.06%+6.89%1,60%
31.15 TWD +0.48%+0.48%+9.88%1,54%
39.1 TWD +0.26%+1.03%-0.26%1,50%
142.5 TWD -1.72%-2.40%+5.56%1,33%
76.5 TWD +0.53%+0.66%+2.68%1,28%
27.1 TWD -0.18%+2.07%+5.04%1,25%
55.6 TWD -0.36%+1.09%-16.39%1,17%
24.55 TWD 0.00%+0.41%-9.07%1,14%
67.7 TWD -0.29%+0.89%-14.52%1,12%
113 TWD +0.89%-1.74%+14.60%1,06%
26.95 TWD +0.19%+1.13%-1.64%1,06%
419 TWD +1.70%+1.33%-14.40%1,04%
101 TWD +1.61%+5.10%-13.68%1,01%
25.8 TWD -0.19%+0.78%-3.37%1,00%
168 TWD -1.75%0.00%-12.95%0,99%
182.5 TWD -0.82%+7.35%+3.69%0,92%
30 TWD +0.67%+0.33%+8.70%0,91%
428 TWD +6.73%+6.73%-18.16%0,88%
603 TWD +1.01%+2.55%+16.63%0,84%
53.9 TWD -0.19%+2.86%-13.48%0,79%
31.8 TWD -0.62%-0.62%-8.75%0,78%
609 TWD 0.00%+1.33%-14.10%0,78%
2’185 TWD -0.46%+3.07%-23.87%0,76%
17.6 TWD +0.86%+1.44%-2.76%0,74%
520 TWD -0.57%-5.80%+10.29%0,72%
13.45 TWD -0.37%+1.89%+7.17%0,70%
22.55 TWD +0.22%+1.58%+0.89%0,67%
21.3 TWD -0.23%+0.47%+8.12%0,67%
45.05 TWD -0.33%+0.11%-3.74%0,60%
368 TWD +0.82%+0.82%-1.08%0,60%
103.5 TWD +0.98%+1.47%+4.97%0,59%
97 TWD +2.43%+2.32%+11.11%0,57%
227.5 TWD +5.08%+5.81%+15.48%0,57%
275.5 TWD +0.36%+2.04%+2.23%0,56%
615 TWD 0.00%+4.59%+3.02%0,56%
2’325 TWD +3.33%+0.43%+27.40%0,53%
53.3 TWD +0.19%+0.57%+0.95%0,53%
36 TWD +1.41%+1.98%-9.66%0,51%
1’320 TWD +10.00%+14.29%-24.14%0,47%
1’140 TWD +3.17%+8.06%+12.87%0,47%
8.35 TWD 0.00%+3.47%-5.65%0,46%
14.05 TWD +1.81%+3.69%-1.75%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 ( 27.03.2024 )

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