Einzelwerte iShares International Equity Factor ETF - USD

ETF

A14ZEQ

US46434V2741

INTF

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29.31 USD +1.56% Intraday Chart für iShares International Equity Factor ETF - USD +1.10% +4.57%

Zusammensetzung des iShares International Equity Factor ETF - USD

Gewichtung
835.2 DKK -4.34%-6.57%+19.28%2,26%
91.92 CHF +0.11%-2.40%-5.65%1,69%
825.5 EUR +1.74%-1.04%+21.11%1,68%
88.7 CHF -0.19%-0.38%+4.39%1,29%
788.4 EUR +2.79%-1.41%+7.46%1,13%
42.41 AUD +0.07%-6.79%-15.87%1,03%
135.7 CAD +1.32%+1.70%+1.30%1,03%
215.4 CHF +0.63%-6.44%-12.11%1,01%
3’581 JPY -0.67%+1.99%+38.24%1,00%
2’868 GBX -0.17%-0.97%+11.49%0,95%
66.86 EUR +0.01%-1.53%+8.56%0,94%
12’093 GBX -0.52%+6.94%+13.68%0,88%
24.39 CHF +0.41%-5.16%-6.36%0,86%
437.8 EUR +0.25%-0.67%-2.86%0,85%
222.7 CAD +6.87%+6.90%+14.96%0,78%
79.5 EUR +1.17%+3.52%+18.80%0,76%
170.4 JPY -0.06%-0.58%-1.10%0,76%
79.44 CAD -1.63%-1.63%-7.22%0,75%
170.1 EUR +0.92%-2.76%+21.91%0,68%
154.6 CAD +1.16%+1.43%+20.53%0,65%
92.05 EUR +0.16%+3.60%+2.55%0,63%
128.3 SEK +0.49%-1.57%+2.83%0,61%
514 GBX -0.34%-1.95%+10.03%0,61%
84.12 EUR +0.86%-7.62%+5.23%0,60%
122.9 CAD -0.34%-2.98%-6.25%0,60%
7’575 JPY -0.81%+1.03%+2.94%0,59%
139.7 CAD +2.18%-0.82%-1.60%0,58%
28.18 EUR +0.14%+1.08%+8.32%0,58%
713.8 GBX +1.26%+6.84%+12.26%0,57%
71.64 EUR +1.02%-3.25%+14.53%0,55%
25.66 AUD +0.35%+4.31%-11.58%0,53%
13’060 JPY -0.31%+4.52%-2.61%0,51%
176.3 EUR +0.61%+0.42%+3.63%0,51%
1’554 JPY -0.61%-0.03%+28.27%0,48%
5.01 EUR +1.13%-1.09%+29.12%0,48%
131.3 CHF +2.48%+1.51%+13.43%0,48%
5’466 GBX +0.45%+2.69%-6.54%0,47%
15.08 EUR +3.18%+4.73%+17.22%0,47%
104.4 EUR +0.68%-0.05%+24.29%0,47%
3’545 CAD -2.00%-3.02%+7.89%0,46%
7’331 JPY +2.80%+10.08%+27.12%0,45%
82.97 CHF +2.08%+1.69%+14.25%0,44%
14.39 EUR -0.08%-4.55%+6.77%0,44%
61.35 HKD +3.37%+25.85%-9.85%0,44%
215.1 EUR +0.75%+2.84%+18.33%0,44%
1’140 DKK -0.83%+3.59%+22.00%0,43%
7.98 AUD +1.79%+4.31%+7.26%0,43%
454.4 GBX -0.93%-3.06%-3.80%0,43%
3’008 JPY -0.33%-0.73%+24.68%0,43%
98.IcYF6OCnmpEfOEGfsVBeED-R48MS-nVB6z7Ea3-cY9Y.TahGibTLqeUqbTbr1zEneWympJR5iDwMowyOIzrULK5xmUissu7ZpChxdQ

Beschreibung

ISIN Code US46434V2741
Verwaltungsgebühren 0.15%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert STOXX International Equity Factor Net Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
28.04.2015
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 958 M€
Volumen 1M 933 M€
Volumen 3M 872 M€
Volumen 6M 883 M€
Volumen 12M 875 M€
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