Einzelwerte iShares Core Growth Allocation ETF - USD

ETF

A1JG6U

US4642898674

AOR

Verzögert Nyse 21:00:57 03.05.2024 % 5 Tage % 1. Jan.
54.74 USD +0.80% Intraday Chart für iShares Core Growth Allocation ETF - USD +1.74% +2.92%

Zusammensetzung des iShares Core Growth Allocation ETF - USD

Gewichtung
184.6 USD +6.71%+9.36%-3.83%2,34%
406.4 USD +2.16%-0.01%+8.04%2,32%
186.2 USD +0.79%+3.73%+22.63%1,15%
886.7 USD +3.33%+1.26%+79.39%1,02%
166.9 USD +0.16%-2.89%+19.54%0,69%
452.2 USD +2.39%+2.08%+27.84%0,65%
181.7 USD +0.94%+7.60%-27.13%0,57%
190.3 USD -0.71%-1.65%+11.87%0,41%
1’280 USD +3.32%-4.88%+14.53%0,41%
491.9 USD -0.22%-0.80%-6.67%0,40%
738.8 USD -2.26%+0.78%+26.82%0,39%
780 TWD +1.04%+1.83%+31.53%0,37%
268.9 USD +0.50%-2.04%+3.29%0,34%
115.5 USD -0.64%-2.23%+15.35%0,33%
149.1 USD -0.52%+1.94%-4.96%0,31%
850.6 DKK -2.58%-4.06%+21.85%0,29%
443.5 USD +0.55%-3.98%+4.10%0,29%
342.4 USD +2.05%+1.92%-1.45%0,29%
164.5 USD +0.39%+1.91%+12.17%0,29%
91.72 CHF -0.11%-1.06%-5.94%0,27%
835.9 EUR +3.02%-2.67%+22.62%0,26%
745 USD +1.71%+2.07%+12.75%0,24%
127.6 USD -0.48%-2.63%+17.18%0,23%
163.8 USD +1.88%+2.63%+5.71%0,23%
77’600 KRW -0.51%+1.70%-1.15%0,23%
486.7 USD +2.12%+1.87%-18.46%0,23%
159.3 USD -0.87%-3.99%+6.77%0,22%
274.5 USD +0.87%+0.13%+4.37%0,21%
150.5 USD +2.98%-4.40%+2.08%0,20%
364.4 HKD +1.11%+7.37%+24.11%0,19%
782 EUR +1.96%-1.29%+6.60%0,19%
176.2 USD +0.42%+0.27%+3.66%0,19%
37.18 USD +0.80%-1.76%+10.38%0,19%
62.24 USD +0.40%+0.78%+5.58%0,19%
2’858 GBX -0.50%-1.55%+11.16%0,19%
59.88 USD +0.29%-0.48%+13.93%0,19%
304.5 USD +1.40%-1.24%-13.31%0,18%
12’050 GBX -0.87%+0.52%+13.68%0,18%
87.97 CHF -1.01%-1.71%+3.65%0,18%
270.7 USD -0.95%-0.81%-8.64%0,18%
217.3 CHF +1.49%-1.67%-11.12%0,18%
577.1 USD +2.12%+2.88%+18.59%0,18%
30.84 USD +1.10%-3.25%-38.62%0,18%
575.2 USD +0.69%+0.18%+8.26%0,17%
47.16 USD +0.78%-1.51%-6.70%0,17%
3’581 JPY -0.67%+2.40%+38.24%0,17%
1117a571380dd8d458fb4cc5fd1bf.nBhiE8O8JMBeDF1IoNbhg8w5jdGdAONVcxRHIfqAFN4.9nc9RIvyVLhoYBY66O_S7a9qzIH8YZtiN0QAe5LNROn4UAlV-8kU9T1KLg

Beschreibung

ISIN Code US4642898674
Verwaltungsgebühren 0.20%
Anlageklassen
Währung
Fondsgesellschaft
Basiswert S&P Target Risk Growth Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
04.11.2008
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 1 891 M€
Volumen 1M 1 875 M€
Volumen 3M 2 040 M€
Volumen 6M 1 762 M€
Volumen 12M 1 690 M€
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