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
27.24 USD -1.23%-4.37%-17.05%0,08%
22.19 USD -1.51%-4.27%-1.02%0,08%
25.37 USD -1.05%-2.90%-13.12%0,08%
49.5 USD -0.85%+5.17%-16.08%0,08%
28.72 USD +0.58%-0.66%-9.31%0,08%
172.4 USD -1.57%-6.94%-16.35%0,08%
101.9 USD +0.40%-0.03%+12.01%0,08%
1’782 USD +0.77%+2.73%+17.50%0,08%
34.28 USD -0.80%-2.31%+17.39%0,08%
66 USD -2.53%-4.30%+8.47%0,08%
118.2 USD -0.40%-1.16%+4.48%0,08%
569.2 USD +0.47%-7.88%-2.88%0,08%
2’470 JPY +0.10%+1.56%+8.07%0,08%
15’730 PLN -0.69%+2.48%-2.84%0,08%
8.555 USD -2.89%-3.44%-16.44%0,08%
37.32 EUR -0.27%-2.71%+22.60%0,08%
78.32 USD -1.32%-1.04%-9.10%0,08%
2’582 GBX -0.23%+0.31%-7.52%0,08%
101 EUR +0.60%-0.98%+7.05%0,08%
8’390 KRW -0.94%+4.35%+17.51%0,08%
10.42 USD -5.91%-12.06%-32.64%0,08%
50.05 EUR +1.27%-4.85%+2.50%0,08%
178.7 NOK +0.79%+7.01%-4.69%0,08%
29.82 USD -0.32%+8.78%+7.50%0,07%
7.72 AUD +0.65%-1.03%+3.76%0,07%
928 GBX -0.59%-0.48%-11.11%0,07%
64 USD -0.80%+0.56%-17.00%0,07%
1’720 JPY +1.09%+2.32%+9.76%0,07%
149.6 USD -1.69%-0.15%+14.70%0,07%
4’590 JPY +1.37%+3.99%+1.28%0,07%
3.33 AUD -0.30%-0.89%+2.78%0,07%
3’087 JPY +1.25%+0.92%+13.16%0,07%
84.22 USD -4.93%-1.65%-22.65%0,07%
179.9 USD -1.93%-0.76%-24.60%0,07%
69.1 EUR +0.36%+0.44%+7.70%0,07%
9.175 USD -1.24%-2.95%-5.06%0,07%
121.2 GBX -4.04%-2.49%+21.56%0,07%
10.96 USD -1.57%-1.62%-1.26%0,07%
27.78 USD -2.82%+3.12%-11.38%0,07%
4.59 AUD 0.00%+0.22%+9.29%0,07%
15.88 USD -0.53%+0.99%+3.43%0,07%
285.4 SEK -0.49%-1.38%+4.54%0,07%
25.73 CAD -2.20%+1.34%+19.09%0,07%
144.7 USD -2.54%-5.87%+6.00%0,07%
57.51 USD -0.45%-0.07%-8.63%0,07%
9’549 JPY -0.84%+3.91%+41.72%0,07%
701.5 NOK +1.08%+5.89%+23.24%0,07%
201.2 EUR -0.79%-2.14%+12.28%0,07%
f12ff356434c0174dff09aea23f0.m-kb-PipqFUN4FvOkqmOe4c-P6uz84jKkJcx_PxyGOw.6ZBSgYydx21MtTS555v5FsRuVdnYlfuyqaVzprImWoTpvlPIteDfOmCFLA

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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