Einzelwerte iShares MSCI EM ESG Enhanced UCITS ETF Acc - USD

ETF

A2PCB0

IE00BHZPJ239

EDM2

Verzögert Börse Stuttgart 08:01:44 07.06.2024 % 5 Tage % 1. Jan.
5.127 EUR -0.02% Intraday Chart für iShares MSCI EM ESG Enhanced UCITS ETF Acc - USD -0.18% +5.73%

Zusammensetzung des iShares MSCI EM ESG Enhanced UCITS ETF Acc - USD

Gewichtung
894 TWD +4.68%+6.68%+50.76%10,16%
77’400 KRW +2.79%+5.31%-1.40%4,16%
375 HKD -1.73%+4.17%+27.66%3,38%
2’889 INR +0.92%+0.93%+11.70%1,97%
5.64 HKD +0.89%+1.81%+21.29%1,49%
1’121 INR +0.97%-0.00%+12.48%1,12%
1’525 INR +3.58%+8.36%-1.19%1,11%
193’700 KRW +0.21%-1.02%+36.89%1,05%
1’570 INR +0.64%+2.38%-8.26%0,89%
77’400 KRW -0.26%-1.65%+43.07%0,88%
28.85 TWD +0.87%+4.15%+11.82%0,87%
2’914 INR +0.30%+1.00%-14.47%0,84%
2’737 INR +1.39%+9.19%+58.24%0,80%
143.8 USD +0.72%-5.39%-1.70%0,80%
3’911 ZAR +1.34%+2.70%+25.04%0,72%
27.5 TWD +0.18%+0.73%+0.36%0,67%
38.38 BRL -0.92%+1.67%+3.06%0,65%
2’570 INR +0.78%+10.31%-3.55%0,65%
4.41 HKD +0.92%-0.23%+15.45%0,64%
9.98 MYR 0.00%+0.81%+12.26%0,63%
36.85 TWD +1.52%+4.39%+29.98%0,61%
75.2 TWD +1.62%+4.59%+16.05%0,61%
111.3 HKD -1.24%+5.80%+35.78%0,60%
74.5 SAR -0.80%-1.97%-10.78%0,60%
304 INR +1.20%-2.02%+28.06%0,60%
4.13 MYR 0.00%+1.23%-3.73%0,59%
345 TWD -0.29%+4.55%+10.05%0,58%
10.74 HKD -5.95%-4.10%-1.47%0,57%
57.5 TWD +1.77%+3.42%+25.68%0,57%
1’418 INR +1.47%+7.09%-3.28%0,56%
1’140 INR -0.22%+6.81%+4.89%0,55%
1’290 TWD +4.88%0.00%+27.09%0,54%
200.9 MXN +0.98%+1.58%-9.10%0,52%
177’100 KRW +0.17%+3.93%-20.94%0,50%
39.3 TWD +0.38%+1.03%+0.26%0,49%
297.4 ZAR +2.60%-0.63%+7.07%0,49%
225.8 HKD -1.48%+2.91%+5.41%0,49%
1’744 INR +0.55%+3.88%-8.56%0,48%
11.82 BRL -1.09%+2.60%-13.91%0,47%
149 MXN -3.85%-4.23%-12.73%0,47%
45’550 KRW +0.33%-0.98%+13.45%0,46%
14’080 KRW +0.07%+0.36%+8.31%0,45%
59’700 KRW -1.16%-1.97%+37.56%0,45%
186.4 INR +1.50%+4.02%+50.65%0,44%
302.woZv3o4zHktKar-dAdl0prg8yB6a2aXYV8j6TeXoz44.ts4-599DLnIOKYjvUYM61eBf-C3OvcS0IvuwOpG5vvev7TqpuFEsfz9dyA

ETF Ratings

Beschreibung

ISIN Code IE00BHZPJ239
Verwaltungsgebühren 0.18%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI EM ESG ENHANCED FOCUS Net Return Index - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
21.10.2019
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson
Qualifizierter Investor

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 4 062 M€
Volumen 1M 4 046 M€
Volumen 3M 3 133 M€
Volumen 6M 2 963 M€
Volumen 12M 2 782 M€
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