Einzelwerte iShares US Property Yield UCITS ETF - USD

ETF

A0LEW6

IE00B1FZSF77

IUSP

Markt geschlossen - Euronext Amsterdam 17:35:29 05.07.2024 % 5 Tage % 1. Jan.
25.73 EUR -0.17% Intraday Chart für iShares US Property Yield UCITS ETF - USD -0.87% -1.59%

Zusammensetzung des iShares US Property Yield UCITS ETF - USD

Gewichtung
40.74 USD 0.00%-1.16%-1.76%-.--%
22.6 USD -0.57%-2.12%-2.88%-.--%
114.5 USD +1.02%+1.91%-14.13%10,75%
106.5 USD +1.07%+2.14%+18.09%6,03%
146.1 USD -1.46%-3.76%+2.42%5,21%
53.09 USD +1.22%+0.51%-7.54%5,08%
151.4 USD -0.18%-0.40%+12.53%4,79%
289.7 USD +0.81%+0.70%-5.03%4,64%
27.75 USD 0.00%-3.11%-12.95%3,37%
154.4 USD +0.10%-0.68%-3.72%3,21%
203.3 USD +1.15%-1.75%+8.57%3,07%
67.87 USD +0.56%-2.12%+10.97%2,74%
36.04 USD +0.08%+0.42%+5.66%2,39%
116.8 USD -0.25%-0.15%-7.86%2,29%
52.45 USD +1.22%+2.32%+5.24%2,02%
272.2 USD +0.98%+0.01%+9.80%1,79%
138.8 USD -0.45%-2.67%+3.23%1,72%
119 USD +1.04%-1.16%-11.00%1,56%
17.48 USD -1.13%-2.78%-10.22%1,51%
19.73 USD +1.28%+0.66%-0.35%1,50%
40.87 USD +0.67%-0.68%+6.74%1,43%
19.28 USD +0.05%-0.92%-9.53%1,40%
37.45 USD +0.38%+0.78%+4.14%1,36%
55.04 USD +0.27%-0.02%-15.07%1,36%
44.61 USD +1.16%-1.33%-9.60%1,25%
64 USD +0.63%-1.73%-9.27%1,22%
61.95 USD +0.50%-0.40%-7.54%1,22%
107.7 USD +0.20%-1.27%+8.49%1,18%
60.3 USD -1.92%-2.05%-14.07%1,11%
45.52 USD +0.69%+2.09%-18.86%1,03%
44.57 USD +0.72%-1.33%-3.84%1,03%
100.8 USD +0.15%-0.17%-2.18%0,96%
33.87 USD +0.24%-1.11%+10.47%0,85%
42.34 USD +0.28%-0.61%-1.76%0,84%
173.6 USD +0.94%+2.06%-5.41%0,81%
36.05 USD -0.06%-0.03%-8.18%0,71%
25.94 USD -1.33%+1.57%-14.30%0,71%
98.42 USD -0.33%-1.44%-10.58%0,70%
47.8 USD +0.36%+0.61%-9.25%0,68%
62.44 USD +0.87%+0.81%-0.81%0,65%
16.73 USD +1.95%+1.52%-2.90%0,62%
60.65 USD +0.75%+2.48%-3.22%0,55%
22.19 USD +0.14%-0.85%-2.93%0,54%
25.73 USD -1.79%-2.13%-8.92%0,53%
27.99 USD +0.50%+1.01%+9.51%0,47%
31.24 USD -3.52%+0.22%-21.59%0,45%
32.65 USD -0.40%-0.18%-10.50%0,45%
18.65 USD -0.05%-0.48%+21.90%0,40%
22.4 USD -1.71%-3.24%-8.01%0,39%
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ETF Ratings

Beschreibung

ISIN Code IE00B1FZSF77
Verwaltungsgebühren 0.40%
Anlageklassen Actions
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE EPRA/NAREIT US Dividend+ Net Total Return Index - USD

Merkmale

Dividenden-Politik Distribution
Replikationsmethode Physique
Gerichtsstand
Replikationsmodell
Erstellungsdatum
03.11.2006
Faktor
Geographischer Fokus

Distribution

Investor Privatperson
Qualifizierter Investor

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 446 M€
Volumen 1M 427 M€
Volumen 3M 485 M€
Volumen 6M 426 M€
Volumen 12M 418 M€
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