Einzelwerte iShares Core Growth ETF Portfolio - CAD

ETF

A11769

CA46429U1093

XGRO

Verzögert Toronto S.E. 21:44:12 30.04.2024 % 5 Tage % 1. Jan.
27.15 CAD -0.55% Intraday Chart für iShares Core Growth ETF Portfolio - CAD +0.67% +5.19%

Zusammensetzung des iShares Core Growth ETF Portfolio - CAD

Gewichtung
3.63 EUR +0.41%+6.14%+5.58%-.--%
143 CHF -0.14%-2.46%+18.38%-.--%
9.77 USD -2.88%+5.74%-41.00%-.--%
4.513 EUR +3.04%-2.57%+4.39%-.--%
10.22 EUR +2.10%+2.30%+14.51%-.--%
53.4 EUR -1.11%-0.93%-5.32%-.--%
53.5 EUR -3.08%+0.75%-8.86%-.--%
10.7 AUD -0.74%-2.37%-10.54%-.--%
41.15 EUR -1.91%+1.11%-2.83%-.--%
58.5 EUR +1.39%+3.72%-5.34%-.--%
17.76 CHF -0.22%+9.36%+0.57%-.--%
1’383 ILa +3.75%+0.36%+27.82%-.--%
16.74 GBX +2.83%+7.03%+11.01%-.--%
2.454 EUR -1.37%-0.65%+8.11%-.--%
21.1 EUR -1.86%-3.65%-16.27%-.--%
210.5 GBX -0.94%+4.21%+16.43%-.--%
78 EUR -1.14%+12.39%+5.41%-.--%
5.98 EUR -2.61%-3.47%-1.81%-.--%
5.69 EUR +0.18%+4.21%-15.83%-.--%
910 JPY +0.33%+0.78%-18.46%-.--%
25.85 EUR -0.19%+16.97%+4.87%-.--%
105 EUR 0.00%-3.85%-4.55%-.--%
121 NOK -0.49%-1.63%-5.47%-.--%
83 GBX +0.12%0.00%-18.63%-.--%
0.711 EUR -1.11%-6.32%+27.42%-.--%
109.4 EUR +1.11%+2.05%+1.86%-.--%
4.32 AUD -1.82%-2.04%+10.77%-.--%
42.51 USD +0.07%+0.66%+1.75%-.--%
26’110 ILa +0.23%+0.42%-1.66%-.--%
51.2 NOK -2.48%-0.39%+29.95%-.--%
14’850 JPY +1.92%-6.95%+65.74%-.--%
2.43 AUD -0.82%+0.83%-15.92%-.--%
9’340 ILa +2.38%+1.68%-3.46%-.--%
32.58 USD +0.09%-1.87%-30.05%-.--%
1’395 JPY +1.75%+1.45%+16.35%-.--%
1’425 JPY -0.28%-2.40%-23.06%-.--%
2’080 JPY +0.63%+1.81%+7.11%-.--%
2.46 EUR -0.40%+1.65%+9.33%-.--%
47 EUR +1.62%+2.40%-18.12%-.--%
321 GBX +0.31%-0.62%+0.63%-.--%
0.505 AUD +2.02%-.--%-.--%-.--%
3’642 ILa -0.03%-1.57%-12.24%-.--%
5’040 JPY +2.75%-1.95%+12.63%-.--%
0.965 AUD +0.52%+9.66%-12.67%-.--%
3’290 JPY +2.97%+4.78%+21.22%-.--%
28’050 ILa +0.79%+0.90%+18.01%-.--%
1.06 HKD 0.00%+3.92%-13.11%-.--%
0.445 AUD -2.20%-2.20%-19.09%-.--%
16.1 EUR -1.35%+0.25%-17.44%-.--%
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Beschreibung

ISIN Code CA46429U1093
Verwaltungsgebühren 0.20%
Anlageklassen
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
21.06.2007
Dividenden-Politik

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 1 471 M€
Volumen 1M 1 401 M€
Volumen 3M 1 253 M€
Volumen 6M 1 143 M€
Volumen 12M 1 037 M€
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