Einzelwerte iShares MSCI Taiwan Capped ETF - USD

ETF

A2AUCF

US46434G7723

EWT

Markt geschlossen - Nyse 22:00:00 24.04.2024 % 5 Tage % 1. Jan.
46.53 USD +0.48% Intraday Chart für iShares MSCI Taiwan Capped ETF - USD -0.11% +1.09%

Zusammensetzung des iShares MSCI Taiwan Capped ETF - USD

Gewichtung
783 TWD +3.85%-2.61%+32.04%21,86%
1’010 TWD +3.91%-3.81%-0.49%4,78%
156 TWD +8.33%+6.48%+49.28%4,05%
260.5 TWD +9.92%+2.36%+16.04%2,10%
304 TWD +2.18%+1.16%-3.03%2,05%
50.2 TWD +3.08%-0.20%-4.56%2,00%
66.8 TWD +0.75%+1.21%+3.09%1,78%
31.45 TWD -0.32%-0.16%+10.93%1,78%
39.35 TWD -1.63%+0.90%+0.38%1,58%
124.5 TWD -0.40%+0.81%+3.75%1,55%
148 TWD +2.07%-5.13%+9.63%1,55%
49.25 TWD +1.03%+2.82%+7.65%1,41%
420.5 TWD +2.69%-1.87%-14.10%1,38%
27.05 TWD -0.55%+2.08%+4.84%1,33%
77 TWD -1.79%+2.12%+3.36%1,29%
412 TWD +1.73%+0.98%-21.22%1,21%
601 TWD +3.09%-3.22%+16.25%1,18%
24.75 TWD -0.40%+1.23%-8.33%1,17%
56.4 TWD -0.53%+2.55%-15.19%1,14%
30.35 TWD +1.85%+1.17%+9.96%1,14%
27.2 TWD +0.18%+1.12%-0.73%1,13%
68.8 TWD -0.43%+1.47%-13.13%1,10%
173.5 TWD +0.29%+1.76%-10.10%1,07%
26.1 TWD -0.19%+1.56%-2.25%1,07%
2’195 TWD +2.81%-0.23%-23.52%1,02%
98.4 TWD +4.02%+2.18%-15.90%1,01%
44.8 TWD +2.99%-0.55%-16.73%0,95%
21.45 TWD -1.61%-0.46%+8.88%0,93%
35.5 TWD +2.90%-0.28%-10.92%0,91%
538 TWD +5.49%-5.61%+14.10%0,91%
2’290 TWD +7.51%-4.18%+25.48%0,89%
187 TWD +10.00%+4.47%+6.25%0,89%
624 TWD +2.80%+5.23%+4.52%0,89%
17.65 TWD -0.28%+0.57%-2.49%0,86%
22.85 TWD -0.44%+1.78%+2.24%0,86%
612 TWD +0.33%+0.99%-13.68%0,86%
86.4 TWD +1.53%-6.49%+5.88%0,82%
13.7 TWD +1.11%+2.62%+9.16%0,81%
54.8 TWD -0.18%+2.24%-12.04%0,80%
32.15 TWD -0.62%-1.53%-7.75%0,79%
54.3 TWD +5.64%+0.37%+2.84%0,79%
45.75 TWD -0.22%-1.40%-2.24%0,78%
96.7 TWD +2.11%+0.31%+10.77%0,77%
158 TWD +2.27%-2.17%-22.55%0,75%
373.5 TWD +1.91%+0.67%+0.40%0,73%
80.5 TWD +0.25%+0.12%+0.88%0,71%
102 TWD -0.97%0.00%+3.45%0,70%
276 TWD 0.00%+1.28%+2.41%0,67%
1’135 TWD +5.09%+1.79%+12.38%0,65%
115.5 TWD +4.05%+0.87%+17.14%0,64%
663.AmvXO35Lyhzoio_k9yj4YQu07HFQocwCGXIW6TszE4I.Oxi2URgcjy2w3tWRj26_CULboy4FyfsyTjhBgGEHd7taDrR4Bx2ETNn9uw

Beschreibung

ISIN Code US46434G7723
Verwaltungsgebühren 0.59%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Taiwan 25/50 Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
20.06.2000
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 3 792 M€
Volumen 1M 3 528 M€
Volumen 3M 3 422 M€
Volumen 6M 3 079 M€
Volumen 12M 3 774 M€
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