Einzelwerte Invesco FTSE RAFI Global Small-Mid ETF - USD

ETF

A3DVQP

CA46140D2041

PZW.U

Verzögert Toronto S.E. 15:21:00 14.03.2024 % 5 Tage % 1. Jan.
24 USD +3.49% Intraday Chart für Invesco FTSE RAFI Global Small-Mid ETF - USD -.--% -.--%

Zusammensetzung des Invesco FTSE RAFI Global Small-Mid ETF - USD

Gewichtung
93.06 USD -1.84%+16.89%+92.67%0,26%
867.3 USD -2.59%+13.65%+204.59%0,26%
81.89 USD -2.23%+7.74%+53.89%0,23%
32.18 USD -3.70%-1.53%-34.35%0,19%
2.045 USD -3.76%-8.30%-54.35%0,19%
20.82 USD -2.78%+1.07%-20.25%0,17%
71.12 USD -2.56%-0.22%+78.24%0,17%
15.76 USD -2.69%-0.41%-12.84%0,16%
125.5 EUR -1.38%-6.03%-8.02%0,15%
70.76 USD +0.02%-0.20%+52.48%0,15%
16’590 JPY +2.28%+3.53%+39.06%0,15%
6.945 USD +0.51%-0.36%+18.64%0,15%
130.4 USD -1.30%+1.07%+32.21%0,14%
403 USD -3.15%-26.70%-8.63%0,14%
92.5 USD -3.19%+3.53%+54.43%0,14%
84.03 USD -4.37%-0.32%-16.68%0,14%
330.6 USD -3.18%+2.52%-2.69%0,13%
2.375 USD -1.04%-1.45%-36.50%0,13%
28.34 USD -0.21%+1.72%-16.07%0,13%
175.6 USD -0.04%+3.88%-11.20%0,13%
49.34 USD -3.32%-7.72%+11.72%0,13%
106.2 USD -1.56%-2.05%+22.41%0,13%
147.6 USD -2.74%-1.34%-4.74%0,13%
12.04 USD -1.99%-2.86%-10.76%0,13%
189’000 KRW +2.89%+5.76%-6.20%0,12%
293.3 USD -0.02%-0.14%-0.61%0,12%
33.82 USD +0.10%+2.43%-8.69%0,12%
78.97 USD -1.95%-5.84%-13.42%0,12%
105.1 USD -1.95%-3.24%+4.58%0,12%
3’813 JPY -2.28%+2.64%+18.56%0,11%
22.18 USD -2.87%+2.38%+29.03%0,11%
109.4 CAD -1.54%-1.09%+2.82%0,11%
177.6 USD -1.69%-1.80%+1.28%0,11%
20.13 CAD -3.27%+2.08%+17.03%0,11%
5’701 JPY -0.61%-1.23%-8.31%0,11%
161.7 USD -0.53%+1.71%+11.60%0,11%
5’893 JPY -0.57%-2.19%-11.57%0,11%
252 USD -2.46%-0.67%+24.12%0,11%
1’465 USD +1.84%+4.83%-6.95%0,11%
85.96 USD +2.66%+6.66%+21.29%0,11%
311.5 USD +0.27%+0.93%+51.38%0,11%
49.44 USD -1.21%-9.52%-11.99%0,11%
28.4 USD -0.73%-0.26%+2.54%0,11%
176.4 USD +0.24%+4.57%-7.33%0,11%
36.58 USD -2.10%-0.16%+19.97%0,11%
62.84 USD -1.53%+4.00%+0.35%0,11%
76.66 USD -1.99%-1.11%-7.12%0,11%
59.37 USD +1.00%-6.63%-19.82%0,11%
6.995 USD -0.07%+1.89%-29.65%0,11%
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Beschreibung

ISIN Code CA46140D2041
Verwaltungsgebühren 0.50%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
20.04.2015
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 0 M€
Volumen 1M 0 M€
Volumen 3M 0 M€
Volumen 6M 0 M€
Volumen 12M 0 M€
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