Einzelwerte iShares MSCI World ESG Screened UCITS ETF - Accumulating - USD

ETF

A2N6TD

IE00BFNM3J75

SAWD

Schlusskurs Swiss Exchange % 5 Tage % 1. Jan.
- PTS -.--% Intraday Chart für iShares MSCI World ESG Screened UCITS ETF - Accumulating - USD -.--% -.--%

Zusammensetzung des iShares MSCI World ESG Screened UCITS ETF - Accumulating - USD

Gewichtung
449.5 USD -0.98%-2.18%+19.54%4,81%
234.8 USD +0.18%+2.68%+21.97%4,38%
126.4 USD -1.62%-3.82%+155.16%3,73%
193 USD +0.16%-3.17%+27.04%2,85%
183.9 USD -1.40%-2.68%+31.66%1,68%
489.8 USD -1.28%-7.59%+38.37%1,67%
941.6 USD -0.93%+0.98%+61.53%1,10%
169.4 USD -1.19%-2.28%+51.74%1,01%
213.6 USD +1.70%+2.88%+25.58%0,97%
256.6 USD +1.55%-2.20%+3.25%0,91%
116 USD +0.72%+4.60%+16.06%0,83%
548.9 USD +6.50%+11.53%+4.25%0,78%
269.2 USD +0.30%+1.44%+3.42%0,74%
970 DKK -0.34%-1.48%+38.95%0,74%
443.5 USD -0.11%-0.26%+3.99%0,66%
977.8 EUR -1.15%-2.01%+43.44%0,63%
151 USD +1.19%+2.69%-3.66%0,61%
369.1 USD +2.97%+9.50%+6.51%0,58%
125.4 USD -2.09%-0.48%+15.06%0,57%
850.8 USD +0.24%-4.07%+28.89%0,56%
169.2 USD +0.70%+0.68%+9.18%0,50%
69.99 USD +0.55%+0.13%+33.19%0,46%
44.13 USD +5.35%+6.54%+31.07%0,46%
256 USD +1.25%+1.43%-2.70%0,46%
177.6 USD -1.27%+0.25%+20.45%0,45%
3’269 JPY -0.15%-0.49%+26.19%0,43%
656.3 USD -0.02%-4.29%+34.80%0,42%
12’100 GBX -0.03%+0.46%+14.15%0,41%
2’782 GBX -0.89%-1.85%+8.21%0,41%
692.1 EUR -1.91%-0.52%-5.66%0,40%
555.4 USD +1.97%+4.43%+4.64%0,38%
60.24 USD +4.35%+0.60%+22.39%0,38%
445.7 USD +1.72%+3.37%+8.53%0,38%
566.5 USD +0.15%+0.09%-5.04%0,36%
98.47 USD +1.65%+1.46%+9.06%0,36%
98.9 CHF -0.20%+1.73%+16.53%0,35%
257.3 USD +2.28%+4.66%-13.23%0,34%
187.2 EUR -0.29%-0.33%+34.23%0,33%
47.42 USD +0.04%+3.54%-6.14%0,33%
325 USD +2.24%+9.04%-7.38%0,33%
142.6 USD -0.32%+1.37%+35.27%0,33%
209.6 USD +0.70%+1.22%+44.95%0,32%
102.7 USD -0.23%+1.06%-6.68%0,32%
666.2 USD +1.21%+2.42%+6.58%0,31%
162.8 USD +2.06%-0.17%+27.60%0,31%
252.1 USD +2.40%+5.15%+8.99%0,30%
360.6 USD +4.28%+10.59%+21.95%0,30%
41.45 USD +1.62%+0.36%+9.95%0,29%
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ETF Ratings

Beschreibung

ISIN Code IE00BFNM3J75
Verwaltungsgebühren 0.20%
Anlageklassen Actions
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI World ESG Screened Net Return Index - USD

Merkmale

Dividenden-Politik Capitalisation
Replikationsmethode Physique
Gerichtsstand
Replikationsmodell
Erstellungsdatum
19.10.2018
Geographischer Fokus

Distribution

Investor Privatperson
Qualifizierter Investor

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 2 310 M€
Volumen 1M 2 129 M€
Volumen 3M 2 118 M€
Volumen 6M 1 977 M€
Volumen 12M 1 742 M€
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