Einzelwerte iShares Developed Markets Property Yield UCITS ETF - USD

ETF

A0LEW8

IE00B1FZS350

IDWP

Markt geschlossen - London S.E. 17:35:03 10.05.2024 % 5 Tage % 1. Jan.
22.2 USD +0.18% Intraday Chart für iShares Developed Markets Property Yield UCITS ETF - USD +0.52% -5.61%

Zusammensetzung des iShares Developed Markets Property Yield UCITS ETF - USD

Gewichtung
668.5 GBX -1.84%+0.22%-5.15%0,43%
595’000 JPY -0.83%-3.09%-2.62%0,43%
82.2 EUR -0.44%-0.51%+3.63%0,42%
15.37 USD +0.13%+3.29%-10.80%0,42%
105.9 USD +0.50%+1.45%-3.74%0,41%
46.07 CAD -0.32%+3.74%-5.59%0,41%
100 EUR -0.30%+1.37%-9.17%0,41%
113.6 CHF -1.39%-0.53%-3.40%0,40%
60.15 USD +1.11%+2.33%-4.45%0,40%
4.28 AUD +0.94%+2.64%-7.76%0,40%
131 SEK -2.35%-0.76%-8.62%0,39%
2.59 SGD +1.17%-0.38%-18.04%0,38%
7.13 AUD +0.85%+1.13%-7.16%0,37%
2.09 AUD +0.48%+1.46%0.00%0,37%
25.44 EUR +0.79%+0.08%+3.08%0,37%
530’000 JPY -1.49%-2.57%-9.25%0,35%
25.84 EUR -0.54%-0.23%-9.33%0,35%
1.92 AUD 0.00%+0.79%-5.88%0,34%
55.07 USD +0.11%+0.33%-12.13%0,34%
38.6 USD +0.03%+0.05%+11.14%0,33%
154’600 JPY -0.45%-0.13%-6.30%0,33%
25.35 HKD +2.22%+1.40%-3.98%0,33%
24.22 USD -1.82%-7.66%-14.27%0,33%
21.09 USD -0.75%+0.09%-7.74%0,33%
94’200 JPY -0.42%-2.48%-7.56%0,32%
34.02 USD -1.25%+0.27%-14.61%0,31%
407.6 GBX -1.83%+0.99%+2.00%0,30%
963 GBX -1.58%+0.47%-7.76%0,30%
266’300 JPY -3.55%-4.21%-1.88%0,30%
133’900 JPY +1.06%+3.88%-4.70%0,29%
157’800 JPY -0.19%+0.25%-1.87%0,29%
17.71 CAD -0.39%-0.73%-4.89%0,28%
32.89 USD -0.96%-0.57%-9.84%0,28%
1’509 JPY +1.72%+0.47%+2.20%0,27%
1.37 SGD +1.48%+1.48%-21.26%0,27%
159.2 GBX -1.24%+0.32%-5.74%0,26%
27.15 USD +0.11%+0.89%+6.22%0,26%
23.62 USD -0.59%+0.77%-3.00%0,25%
263’900 JPY -0.34%-2.11%+4.85%0,25%
3.35 USD +2.45%+3.08%-3.74%0,25%
8.58 HKD +1.78%+0.35%+1.06%0,24%
10.69 EUR -0.93%-0.37%+6.26%0,24%
2.21 SGD +1.38%+1.38%-11.95%0,24%
41.55 USD +0.22%-1.07%-14.24%0,24%
71.23 CAD +0.15%+2.21%-6.62%0,23%
14.84 USD -0.07%+1.09%-10.66%0,23%
16.85 USD -0.41%+3.18%+10.13%0,23%
2’202 GBX +0.27%+2.80%-6.69%0,23%
14.53 USD +0.28%+1.25%+1.82%0,22%
24e1424f3de.KiBHtAS0539gumwV0AGj64g4JENIhQ7A6JpMFcXqk6E.f1EB7kb410k17lxCkmvqnOx7EhIm4233kKIhcK-pxu99TTLzR9aNPhfuGw

ETF Ratings

Beschreibung

ISIN Code IE00B1FZS350
Verwaltungsgebühren 0.59%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE EPRA/NAREIT Developed Dividend+ Net Total Return Index - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
20.10.2006
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson
Qualifizierter Investor

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 0 M€
Volumen 1M 0 M€
Volumen 3M 0 M€
Volumen 6M 0 M€
Volumen 12M 0 M€
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