Einzelwerte iShares Currency Hedged MSCI Germany ETF - USD

ETF

A14MTT

US46434V7047

HEWG

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34.73 USD -0.39% Intraday Chart für iShares Currency Hedged MSCI Germany ETF - USD +2.03% +7.52%

Zusammensetzung des iShares Currency Hedged MSCI Germany ETF - USD

Gewichtung
175.6 EUR +0.40%+4.03%+25.87%11,54%
174.6 EUR -0.40%+1.14%+2.78%10,23%
266.7 EUR -1.40%+2.03%+10.23%7,73%
21.77 EUR +0.09%+4.26%+0.09%5,59%
430.6 EUR -1.01%+5.26%+14.80%4,06%
74.02 EUR -0.04%-0.51%+18.34%3,98%
31.43 EUR +5.45%-0.21%-16.85%3,91%
38.44 EUR -1.56%+0.37%-14.30%3,52%
51.32 EUR +0.47%+0.69%+5.21%3,45%
180.7 EUR -4.01%-3.37%-3.11%2,81%
26.97 EUR -1.37%+2.74%-19.80%2,62%
106.6 EUR +0.09%+0.57%+5.73%2,55%
227.7 EUR -0.09%+3.50%+23.64%2,36%
12.49 EUR -0.24%+2.88%+2.80%2,16%
31.66 EUR -0.85%-0.13%-23.12%2,06%
15.4 EUR +0.03%+6.18%+24.56%1,90%
120.1 EUR -1.03%-0.78%+7.42%1,83%
25.35 EUR -1.67%+3.47%-11.18%1,66%
152.4 EUR -0.85%+3.50%+5.73%1,48%
42.88 EUR -1.31%-2.79%+26.04%1,44%
52.76 EUR +1.15%+1.31%+0.30%1,18%
138.6 EUR +0.73%+3.47%+2.14%1,08%
104.1 EUR -0.43%+1.36%+4.48%1,05%
232.1 EUR -1.32%+1.49%+7.30%1,03%
520.6 EUR +1.17%-2.11%+81.39%0,99%
72.6 EUR +0.72%+1.99%-0.36%0,98%
27.32 EUR -1.23%+3.06%-2.67%0,94%
76.06 EUR +0.74%+1.22%-8.60%0,92%
13.86 EUR -0.18%+6.25%+28.76%0,90%
93.64 EUR -0.11%-2.46%+15.69%0,90%
223.5 EUR -0.27%+5.42%+14.47%0,83%
48.09 EUR -1.31%-5.04%-8.71%0,81%
91.38 EUR +0.40%+1.62%+14.37%0,72%
293 EUR +0.45%-11.13%-12.06%0,69%
63.24 EUR +0.48%+2.16%-17.78%0,67%
38.96 EUR -2.36%+9.62%+2.63%0,62%
49.34 EUR -0.32%+0.63%+6.52%0,56%
17.78 EUR +0.11%+0.11%+48.17%0,49%
37.26 EUR -0.64%+0.32%-1.14%0,49%
74.36 EUR -1.74%+3.45%-6.25%0,47%
42.41 EUR -1.23%+2.39%-16.05%0,42%
69.1 EUR +0.44%+3.06%+7.70%0,38%
6.682 EUR -0.89%+6.00%-16.97%0,38%
25.39 EUR -3.97%-7.13%+18.37%0,38%
82.75 EUR +1.16%-1.61%+5.44%0,36%
28.93 EUR -1.57%+0.66%+15.67%0,35%
19.1 EUR -0.52%-1.37%+3.24%0,34%
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ETF Ratings

Beschreibung

ISIN Code US46434V7047
Verwaltungsgebühren 1.03%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Germany 100% Hedged to USD Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
31.01.2014
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 33 M€
Volumen 1M 32 M€
Volumen 3M 29 M€
Volumen 6M 29 M€
Volumen 12M 32 M€
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