Einzelwerte JPMorgan ETFs (Ireland) ICAV - US Research Enhanced Index Equity (ESG) UCITS ETF - Acc - USD

ETF

A2DWM7

IE00BF4G7076

JREU

Markt geschlossen - Swiss Exchange 05:55:01 06.06.2024 % 5 Tage % 1. Jan.
48.78 EUR +1.06% Intraday Chart für JPMorgan ETFs (Ireland) ICAV - US Research Enhanced Index Equity (ESG) UCITS ETF - Acc - USD -1.03% +13.48%

Zusammensetzung des JPMorgan ETFs (Ireland) ICAV - US Research Enhanced Index Equity (ESG) UCITS ETF - Acc - USD

Gewichtung
423.1 USD -0.21%+1.89%+12.36%7,24%
1’190 USD -2.82%+8.27%+141.59%5,47%
496.6 USD +0.31%+6.38%+40.37%2,23%
275.8 USD +0.46%+1.71%+5.99%1,48%
499.2 USD -0.78%+3.60%-5.22%1,39%
447.6 USD +0.21%+1.29%+4.99%1,36%
167.6 USD +1.28%+7.12%+8.05%1,08%
176.2 USD +0.71%-2.11%-29.56%1,03%
- EUR -.--% - - 1,00%
- NOK -.--% - - 1,00%
21.1 CAD -0.24% - - 1,00%
- EUR -.--% - - 1,00%
0.3938 CAD -17.11% - - 1,00%
0.214 EUR -.--% - - 1,00%
- AUD -.--% - - 1,00%
- USD -.--% - - 1,00%
- AUD -.--% - - 1,00%
- GBX -.--% - - 1,00%
- RUB - - - 1,00%
64.2 USD +0.43%+3.64%+8.99%0,99%
1’398 USD -1.07%+2.64%+25.43%0,87%
433.4 USD -0.40%+0.58%+5.33%0,80%
211.9 USD -0.34%+2.47%+33.12%0,74%
956.3 USD -1.59%+0.60%+22.11%0,74%
166 USD -0.11%+0.21%+13.36%0,74%
319.1 USD -1.30%-1.81%+30.84%0,71%
155.3 USD +0.19%-1.59%+4.42%0,71%
168.1 USD +1.26%+3.48%+14.80%0,68%
539 USD -0.19%+6.22%+14.28%0,61%
3’170 USD +0.70%+2.00%+38.52%0,59%
703.8 USD -0.04%+8.96%-0.79%0,58%
235.9 USD +0.11%+2.46%+18.69%0,57%
652.2 USD +0.30%+0.61%+33.84%0,56%
76.93 USD -0.16%-1.41%+26.92%0,55%
1’002 USD -0.37%+3.55%+14.35%0,54%
458.7 USD -0.65%+1.94%+18.98%0,53%
292.2 USD +0.41%+2.42%-16.87%0,52%
464.8 USD +1.96%+4.14%-22.17%0,49%
208.6 USD +0.07%-1.70%+9.65%0,49%
137.5 USD -0.02%+0.54%-12.48%0,48%
79.08 USD -0.42%+1.45%+12.96%0,47%
108.3 USD -0.43%+0.52%-18.88%0,45%
32.94 USD -0.35%-1.07%-4.98%0,44%
129.5 USD -3.14%+2.71%+51.99%0,42%
18.24 USD +0.08%-0.22%+1.16%0,42%
38.94 USD -0.37%-0.85%-9.79%0,41%
329.9 USD +0.14%-2.90%+11.41%0,40%
36.2 USD -0.48%-1.32%+5.15%0,39%
201.3 USD +0.42%-1.56%-4.22%0,38%
202 USD -0.29%+2.69%+10.84%0,38%
82.38 USD +0.08%+2.31%+0.10%0,37%
68.06 USD +3.40%+6.07%+10.47%0,37%
135.8 USD -0.80%-2.05%-14.74%0,37%
263.1 USD -0.40%-0.57%+16.65%0,34%
108.2 USD +0.42%+3.66%+14.40%0,33%
73.79 USD -0.81%+2.82%+7.43%0,32%
198.3 USD +0.05%+3.89%-8.19%0,31%
106.8 USD -0.90%+3.49%+14.04%0,30%
61.34 USD -0.70%-0.52%+19.77%0,28%
947b5e4e18.SfE9LO01mqVgUjcNkY9tl9_VQVz06Ug1_SvCbfP8Cb0.B7QKFbt_ysBUYlZaxuRAoJqiJ2uhuwlWqXi2Gb24OY4EwnxPvg3PwColYg

Beschreibung

ISIN Code IE00BF4G7076
Verwaltungsgebühren 0.20%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Erstellungsdatum
09.10.2018
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 6 194 M€
Volumen 1M 6 069 M€
Volumen 3M 4 856 M€
Volumen 6M 3 484 M€
Volumen 12M 2 024 M€
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