Einzelwerte iShares Currency Hedged MSCI Canada ETF - USD

ETF

A14ZC0

US46435G7060

HEWC

Verzögert Nyse % 5 Tage % 1. Jan.
- USD -.--% Intraday Chart für iShares Currency Hedged MSCI Canada ETF - USD -0.47% -0.11%

Zusammensetzung des iShares Currency Hedged MSCI Canada ETF - USD

Gewichtung
135.7 CAD +1.32%+1.70%+1.30%6,89%
79.44 CAD -1.63%-1.63%-7.22%6,19%
72 USD +2.27%+2.06%-7.57%4,40%
108.8 CAD +1.96%-2.93%+3.82%4,08%
102.4 CAD -0.61%-3.11%+17.95%3,95%
49.83 CAD +1.71%+0.63%+4.47%3,92%
166.8 CAD +0.18%-2.11%+0.15%3,50%
122.9 CAD -0.34%-2.98%-6.25%3,39%
63.3 CAD -0.60%+0.24%-1.86%3,12%
56.96 CAD +1.05%+3.64%+7.17%2,65%
52.05 CAD +0.50%-3.40%+22.61%2,47%
3’545 CAD -2.00%-3.02%+7.89%2,28%
75 CAD -1.00%-3.08%-3.88%2,26%
49.81 CAD +1.34%+0.97%-3.77%2,03%
64.7 CAD +0.29%-0.09%+1.41%1,98%
32.42 CAD -0.03%+1.50%+10.72%1,88%
71.96 CAD -0.36%+1.18%-3.60%1,73%
71.21 CAD +0.52%+1.53%+3.62%1,58%
28.17 CAD +0.64%-3.16%+27.58%1,57%
22.66 CAD +0.62%-2.87%-5.35%1,57%
165.4 CAD -1.31%-0.43%+12.69%1,53%
228.4 CAD -0.21%+3.32%+12.04%1,36%
65.12 USD +1.37%+0.28%+18.72%1,32%
112.6 CAD +0.89%+0.51%+11.51%1,30%
139.7 CAD +2.18%-0.82%-1.60%1,22%
74.21 USD +1.35%+1.56%-5.02%1,13%
222.7 CAD +6.87%+6.90%+14.96%1,13%
72.52 CAD -0.45%-1.21%+10.94%1,09%
54.38 CAD +0.04%+1.23%-0.24%1,05%
66.28 CAD -0.48%-2.03%+18.34%1,04%
115.3 CAD +0.09%-1.48%+20.71%1,01%
1’524 CAD -0.29%+2.52%+24.66%0,97%
214 CAD +2.17%+0.16%+15.21%0,96%
48.38 CAD +1.34%-0.82%+6.05%0,94%
65.29 CAD -0.76%-4.24%+9.57%0,91%
66.2 CAD +0.99%-0.51%-15.44%0,88%
66.24 CAD +2.60%-1.37%+15.95%0,88%
16.78 CAD -2.95%+3.33%+54.65%0,87%
37.41 CAD +1.49%+2.10%-1.27%0,87%
51.85 CAD +0.64%-0.29%-16.41%0,80%
154.6 CAD +1.16%+1.43%+20.53%0,77%
52.78 CAD +0.42%-0.86%-0.83%0,67%
71.54 CAD +1.82%+0.83%+4.30%0,66%
93.23 CAD +0.57%-4.24%+23.52%0,64%
71.19 USD -0.25%-2.92%+6.43%0,62%
35.47 USD +0.34%-0.76%-15.59%0,60%
181.1 CAD +1.48%-5.82%+0.50%0,58%
46.71 CAD +0.49%+1.17%-7.14%0,56%
24.85 CAD +1.72%-3.76%+26.33%0,51%
38.77 CAD +0.36%+2.46%-2.34%0,47%
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ETF Ratings

Beschreibung

ISIN Code US46435G7060
Verwaltungsgebühren 1.12%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Canada 100% Hedged to USD Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
29.06.2015
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.10.2023 )

Volumen (EUR) 12 M€
Volumen 1M 12 M€
Volumen 3M 12 M€
Volumen 6M 11 M€
Volumen 12M 17 M€
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