Einzelwerte HSBC UK sustainable Equity UCITS ETF (D) - GBP

ETF

A3DQXA

IE00046S3PW1

HUKD

Markt geschlossen - London S.E. 17:35:07 02.05.2024 % 5 Tage % 1. Jan.
16.79 GBX +0.20% Intraday Chart für HSBC UK sustainable Equity UCITS ETF (D) - GBP +1.03% +6.18%

Zusammensetzung des HSBC UK sustainable Equity UCITS ETF (D) - GBP

Gewichtung
1’728 GBX +1.38%+4.69%+19.19%10,34%
201 GBX -1.20%+4.56%+30.71%10,29%
2’728 GBX -0.51%-3.21%-4.46%8,57%
4’469 GBX -0.16%+5.15%-17.55%8,25%
12’156 GBX -0.12%+7.88%+14.68%7,93%
468.4 GBX +0.69%-0.49%+7.75%6,11%
67.82 GBX +0.50%-2.59%-1.08%5,68%
52.06 GBX -0.27%+1.40%+9.12%5,45%
458.7 GBX -0.56%-2.09%-2.84%3,57%
2’873 GBX +1.92%-0.76%+11.72%2,80%
1’150 GBX +0.70%-1.25%-18.79%2,74%
78.56 USD +1.48%-0.27%+11.94%2,70%
657.5 GBX +1.39%+1.39%-6.71%2,68%
526.8 GBX +1.42%+0.88%-8.48%2,41%
244 GBX -1.77%-2.13%+0.29%2,38%
2’636 GBX +1.31%+3.94%+14.36%2,33%
4’918 GBX +0.57%-1.44%+15.83%2,32%
974.4 GBX +0.72%-3.95%+1.06%2,10%
1’790 GBX +1.88%+0.28%+5.45%1,57%
303.2 GBX -0.52%+6.09%+38.20%1,39%
746.5 GBX +1.01%+4.55%-8.92%1,18%
3’256 GBX +1.12%-0.52%+1.69%1,17%
2’217 GBX +0.50%-0.85%-2.93%1,05%
4’180 GBX +0.97%+8.26%+10.00%1,02%
235.8 GBX +0.21%-6.84%-6.09%0,78%
804.2 GBX -0.35%+0.95%+6.80%0,73%
71.8 GBX +2.28%+1.48%+13.46%0,30%
5’442 GBX +0.29%+2.35%-6.85%0,24%
103.6 GBX -0.29%-3.22%-16.22%0,19%
3’086 GBX +1.05%+1.05%-3.26%0,18%
1’160 GBX -0.04%-0.43%-1.02%0,16%
460.3 GBX +1.39%+0.70%-18.18%0,13%
43.15 EUR +5.89%+6.86%+20.26%0,13%
705 GBX +1.08%+5.59%+10.94%0,11%
355.8 GBX +0.45%+1.72%+15.78%0,11%
9’056 GBX +2.44%+0.64%-2.35%0,06%
488 GBX +0.58%-0.81%-8.82%0,06%
401 GBX -0.30%-5.65%-9.03%0,06%
8’978 GBX -0.95%-2.31%+10.59%0,06%
133.7 GBX +2.41%-0.11%-9.08%0,05%
804.4 GBX +0.50%-0.20%+2.97%0,05%
2’130 GBX +2.40%+6.50%+26.75%0,04%
2’010 GBX -0.79%-0.10%+6.55%0,04%
2’477 GBX -0.84%+0.08%-3.96%0,04%
393.6 GBX +1.23%+0.15%-1.50%0,04%
2’221 GBX +0.86%-0.40%+3.49%0,04%
1’696 GBX +1.41%+1.74%-8.62%0,03%
2’662 GBX +1.02%+26.08%+35.06%0,02%
3’001 GBX -3.16%-4.06%-17.92%0,02%
417fee9c3518b.jPxzaDLyA0tbOeO5RUZ843NhRnE4hpxPpZTTyUJ96hw.5sgLMmC_cxMffJPBHzwyrAAiHkdp76kj7fWeuxtQ3Gi-mho_aqNnG2tbjA

Beschreibung

ISIN Code IE00046S3PW1
Verwaltungsgebühren 0.12%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE UK ESG Low Carbon Select Net Total Return Index - GBP

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
27.07.2022
Dividenden-Politik
Geographischer Fokus

Distribution

Qualifizierter Investor

Entwicklungen der ausstehenden Beträge ( 27.03.2024 )

Volumen (EUR) 10 M€
Volumen 1M 10 M€
Volumen 3M 10 M€
Volumen 6M 3 M€
Volumen 12M 2 M€
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