Einzelwerte Invesco Quantitative Strategies ESG Global Equity Multi-Factor UCITS ETF Acc - EUR Hedged

ETF

A2PHJU

IE00BJQRDP39

IQSE

Verzögert Börse Stuttgart 11:01:02 21.06.2024 % 5 Tage % 1. Jan.
70.54 EUR -0.32% Intraday Chart für Invesco Quantitative Strategies ESG Global Equity Multi-Factor UCITS ETF Acc - EUR Hedged +0.86% +18.17%

Zusammensetzung des Invesco Quantitative Strategies ESG Global Equity Multi-Factor UCITS ETF Acc - EUR Hedged

Gewichtung
445.7 USD -0.14%+0.93%+18.52%4,31%
130.8 USD -3.54%+0.90%+164.08%4,26%
501.7 USD +0.44%-0.48%+41.74%2,82%
198.7 USD +0.85%+2.59%+16.80%2,77%
148.5 USD -0.42%+10.00%+94.14%1,91%
235.7 USD -0.64%+1.49%+14.75%1,68%
104.4 USD +0.27%+3.74%+3.54%1,63%
240 USD -3.16%+1.03%+48.08%1,61%
1’735 USD -3.77%+3.31%+55.39%1,57%
337.9 USD +0.92%+1.12%+12.83%1,50%
46.72 USD +1.63%+2.64%-7.52%1,46%
110.4 USD +0.11%+1.96%+17.66%1,34%
175.6 USD -2.05%-3.07%+18.48%1,27%
110.7 USD -0.40%-4.14%+7.24%1,20%
215.5 USD -5.12%-1.07%+48.98%1,20%
149.9 USD +0.30%+1.13%+12.87%1,18%
37.85 USD +2.57%+0.72%-13.68%1,18%
241.8 USD +4.31%+5.58%-8.11%1,15%
267.9 SEK +1.13%-0.30%+2.37%1,12%
1’061 USD -2.59%+2.20%+35.50%1,11%
243.9 USD +0.25%+0.98%+22.96%1,08%
47.77 USD +0.70%+0.25%+32.99%1,08%
276.8 USD +1.17%+2.08%+6.33%1,03%
33.88 EUR -2.64%+4.26%+38.08%1,03%
25.2 USD -2.44%-2.51%+20.52%1,01%
16’770 JPY -1.58%-2.41%+64.90%1,01%
10.26 USD +2.09%-1.25%-5.26%0,99%
335.9 USD -2.74%+0.71%+37.73%0,99%
252.5 USD +1.79%+1.58%-0.18%0,99%
166.7 USD +0.12%+2.05%-1.86%0,97%
125.5 USD +0.75%+1.67%-17.33%0,95%
264.7 USD -2.48%-3.92%+15.24%0,92%
19.18 EUR +0.56%+1.90%-9.32%0,92%
3’097 GBX -1.99%+3.06%+29.41%0,91%
53.84 USD -1.30%+0.28%+23.43%0,89%
150.2 USD -0.84%-3.27%+16.00%0,88%
58.14 EUR +1.29%-1.12%-0.92%0,88%
129.7 USD +1.31%+0.23%+18.94%0,87%
65.95 CAD +0.12%+1.17%-4.03%0,83%
639.2 USD -0.88%+1.81%+11.48%0,81%
523 USD +0.13%+14.00%-12.34%0,79%
68.5 EUR -0.15%-1.01%+13.79%0,77%
69.98 USD +2.85%+0.73%+12.04%0,76%
167.7 USD -0.53%+0.76%+14.42%0,74%
18.11 USD +0.33%+2.49%+7.93%0,70%
23.16 EUR -0.73%+2.52%+21.22%0,67%
461.1 EUR -0.58%+1.09%+23.11%0,67%
1’660 JPY -0.21%-2.09%+13.23%0,65%
225.6 EUR -1.55%+1.97%+24.08%0,63%
915.3 USD -1.00%-0.63%+10.45%0,62%
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Beschreibung

ISIN Code IE00BJQRDP39
Verwaltungsgebühren 0.30%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Erstellungsdatum
31.07.2019
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 139 M€
Volumen 1M 133 M€
Volumen 3M 125 M€
Volumen 6M 112 M€
Volumen 12M 101 M€
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