Einzelwerte iShares MSCI USA SRI UCITS ETF - GBP Hedged

ETF

A3CPAD

IE00BMWPV470

SUAP

Markt geschlossen - London S.E. 17:35:01 20.05.2024 % 5 Tage % 1. Jan.
5.813 GBX +0.36% Intraday Chart für iShares MSCI USA SRI UCITS ETF - GBP Hedged +1.09% +4.36%

Zusammensetzung des iShares MSCI USA SRI UCITS ETF - GBP Hedged

Gewichtung
98.82 USD -0.87%+2.38%+22.05%0,25%
82.1 USD +0.38%+4.73%+17.32%0,25%
206.8 USD -1.79%-1.68%-9.00%0,25%
62.45 USD -0.49%+3.02%+7.41%0,25%
354 USD -0.54%+1.36%+7.53%0,24%
133.1 USD -0.63%-1.31%+12.68%0,23%
118.4 USD +0.43%+0.68%-6.91%0,23%
14.01 USD -1.41%+0.36%+10.14%0,22%
292 USD +1.12%-2.73%+13.05%0,22%
117.6 USD -0.10%+4.11%+35.32%0,22%
19.88 USD -1.49%-0.25%+2.58%0,22%
70.09 USD -0.03%+1.18%+21.85%0,22%
452.5 USD +0.80%+2.83%-5.15%0,22%
902.8 USD +1.61%+6.13%+35.07%0,22%
84.46 USD -1.23%-1.66%+0.09%0,21%
134.8 USD -0.58%-4.57%-5.44%0,21%
74.85 USD -0.23%-0.95%+4.76%0,21%
118.3 USD -0.30%+1.68%+2.05%0,21%
164.1 USD -0.42%-3.11%-17.84%0,20%
219.8 USD -1.14%-2.50%+1.23%0,20%
226 USD -0.11%+0.44%+11.82%0,20%
44.17 USD +0.52%-1.65%+15.66%0,19%
368.3 USD +0.38%-1.29%-7.63%0,19%
86.67 USD -0.12%+1.84%-19.82%0,19%
10.28 USD -2.10%-5.69%-56.18%0,19%
24.93 USD -0.24% - - 0,19%
144.2 USD -0.12%+2.41%+4.56%0,19%
184.1 USD -1.67%+14.36%-15.14%0,19%
73.91 USD +0.76%-1.06%-5.58%0,19%
102.3 USD -0.79%-4.95%+1.32%0,19%
62.08 USD +0.84%-0.66%+11.04%0,18%
83.56 USD +0.65%+0.44%-3.69%0,18%
490.9 USD +0.22%+1.12%+9.70%0,17%
30.71 USD -0.07%-0.78%+7.15%0,17%
176.9 USD +0.27%+0.68%+19.31%0,16%
114.3 USD -0.78%-1.53%-9.55%0,16%
44.76 USD +0.20%+0.47%-6.34%0,16%
31.98 USD +0.63%+1.85%-2.02%0,15%
89.57 USD -0.06%-2.64%-3.09%0,15%
84.61 USD +0.79%+2.40%+16.37%0,14%
41.18 USD +1.33%+4.20%+13.91%0,14%
123.2 USD -0.96%-1.96%-2.72%0,13%
215.7 USD +0.47%+4.75%-26.34%0,13%
52.49 USD -0.85%+2.72%+26.42%0,13%
84.53 USD +0.50%+0.07%-2.15%0,13%
90 USD +1.99%+2.16%-6.24%0,12%
73.47 USD -1.51%+0.46%-2.96%0,12%
62.3 USD -1.63%+0.73%-7.18%0,12%
171.8 USD -0.09%+5.17%-4.46%0,12%
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Beschreibung

ISIN Code IE00BMWPV470
Verwaltungsgebühren 0.23%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI USA SRI Select Reduced Fossil Fuel NTR Index - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
24.05.2021
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 67 M€
Volumen 1M 334 M€
Volumen 3M 317 M€
Volumen 6M 276 M€
Volumen 12M 263 M€
  1. Börse
  2. ETF
  3. A3CPAD ETF
  4. Einzelwerte iShares MSCI USA SRI UCITS ETF - GBP Hedged