Einzelwerte iShares MSCI Germany ETF - USD

ETF

905631

US4642868065

EWG

Verzögert Nyse 21:00:00 28.03.2024 % 5 Tage % 1. Jan.
31.75 USD -0.38% Intraday Chart für iShares MSCI Germany ETF - USD +0.95% +6.94%

Zusammensetzung des iShares MSCI Germany ETF - USD

Kurs
%
% 5 Tage
% 1 Jahr
Gewichtung
180.5 EUR -0.87%-0.06%+58.66%11,55%
177 EUR +0.02%+1.21%+23.30%10,24%
277.8 EUR +0.13%+1.80%+34.76%7,74%
22.5 EUR +0.42%+2.60%+2.72%5,59%
452.3 EUR +0.44%+1.92%+41.88%4,06%
73.81 EUR +0.39%+0.64%+2.67%3,98%
31.52 EUR +0.13%-1.18%-6.11%3,91%
39.92 EUR -1.42%+2.54%-4.05%3,53%
52.93 EUR -0.60%+0.53%+14.11%3,45%
189.6 EUR +0.74%+1.96%+5.13%2,81%
28.43 EUR +0.04%+7.36%-50.01%2,62%
107 EUR +0.75%+2.06%+8.27%2,55%
207 EUR +1.12%+3.92%+46.62%2,37%
12.88 EUR +0.27%+4.50%+14.89%2,16%
31.46 EUR -0.10%+1.75%-17.38%2,06%
14.58 EUR -0.21%+4.25%+63.44%1,90%
122.8 EUR +0.89%+4.30%+0.79%1,83%
27.4 EUR +0.55%+4.82%+75.02%1,66%
163.6 EUR +2.12%+1.24%-3.99%1,48%
46.96 EUR +0.77%+0.62%+53.36%1,44%
56.72 EUR +0.60%+2.64%+10.18%1,18%
135 EUR -0.52%+1.66%+14.32%1,08%
111 EUR +1.19%+0.68%+12.50%1,05%
253.7 EUR +0.12%+1.52%+44.48%1,03%
521 EUR +1.84%+5.94%+90.56%0,99%
74.5 EUR -0.24%+4.55%+6.92%0,98%
25 EUR +0.20%+1.46%+4.43%0,94%
78.08 EUR -1.06%-2.16%+14.32%0,92%
12.73 EUR -0.04%+2.21%+36.03%0,90%
102 EUR +0.74%+3.95%+56.70%0,90%
235.2 EUR +0.90%+4.63%+3.61%0,83%
50.68 EUR +0.88%+1.54%+37.16%0,81%
92.28 EUR -1.39%-1.22%-20.31%0,72%
368.6 EUR +1.26%-1.02%-8.76%0,69%
66.9 EUR -0.48%+0.42%+1.58%0,67%
35.65 EUR +0.14%+1.62%-6.87%0,62%
49.12 EUR +0.16%+1.17%-4.66%0,56%
17 EUR +3.28%+7.25%-12.19%0,49%
39.19 EUR -0.63%+0.77%-7.22%0,49%
79.58 EUR +0.10%+5.52%+67.01%0,47%
42.02 EUR +1.99%+5.55%-20.45%0,42%
69.86 EUR +1.01%+3.13%+30.00%0,38%
7.281 EUR +1.45%+5.10%-22.88%0,38%
26.49 EUR +0.11%+10.05%-24.23%0,38%
91.72 EUR -1.38%+5.50%+61.42%0,36%
26.52 EUR -1.80%-3.39%-10.33%0,35%
18.32 EUR -0.65%+2.98%-2.86%0,34%

Beschreibung

ISIN Code US4642868065
Verwaltungsgebühren 0.50%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Germany Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
12.03.1996
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 29.02.2024 )

Volumen (EUR) 934 M€
Volumen 1M 936 M€
Volumen 3M 940 M€
Volumen 6M 1 432 M€
Volumen 12M 1 538 M€
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