Einzelwerte JPMorgan Sustainable Infrastructure ETF - USD

ETF

A3D8U2

US46654Q5009

BLLD

Verzögert Nasdaq 22:15:00 20.05.2024 % 5 Tage % 1. Jan.
49.34 USD -0.58% Intraday Chart für JPMorgan Sustainable Infrastructure ETF - USD +1.51% +0.74%

Zusammensetzung des JPMorgan Sustainable Infrastructure ETF - USD

Gewichtung
123.8 USD +0.05%-0.18%-2.34%-.--%
2’613 GBX -0.76%-0.57%+1.32%-.--%
101.1 USD +0.27%+2.26%+12.07%-.--%
208 GBX 0.00%+2.56%+8.62%-.--%
1’128 GBX -0.27%+0.71%+6.57%-.--%
6.735 EUR -0.38%+0.31%+0.07%-.--%
7.816 EUR -0.03%+0.96%+3.47%-.--%
48.54 USD -0.38%+1.16%-2.66%-.--%
6’857 JPY -1.28%-0.03%+24.22%-.--%
110.2 USD -1.65%+1.84%-17.28%-.--%
3.739 EUR -1.76%-1.48%-17.91%-.--%
14.44 USD -0.38%-1.60%+1.30%-.--%
248 GBX -1.98%-7.81%-6.20%-.--%
191.9 USD +0.09%+2.60%-11.15%-.--%
62.7 USD -0.07%+0.54%+8.02%-.--%
143.4 USD +0.01%+1.13%+6.60%-.--%
144.9 USD -0.58%+2.07%+26.80%-.--%
319.9 USD -1.58%-0.20%+18.17%-.--%
32.1 USD +1.10%+1.12%+16.55%-.--%
106.7 USD -2.65%-0.38%+41.52%-.--%
76.41 USD +0.71%+1.25%+25.72%-.--%
18.74 USD +0.46%+4.08%+3.97%-.--%
415.5 DKK -0.95%+1.34%+11.01%-.--%
17.75 AUD +0.17%+2.84%+29.28%-.--%
74.61 USD +0.40%+1.30%+22.16%-.--%
101.1 EUR -1.17%+0.30%-10.77%-.--%
30.84 USD -0.21%-0.90%-11.10%-.--%
173 CAD -0.10%+0.24%+3.86%-.--%
6.7 HKD -2.76%+2.45%+13.18%-.--%
201.6 CNY -0.93%+1.11%+23.46%-.--%
28.77 EUR -2.41%+2.57%+0.81%-.--%
12.7 EUR +0.24%-2.61%+4.53%-.--%
946 GBX +0.32%-0.53%-9.39%-.--%
34.5 EUR -1.37%+1.98%-3.25%-.--%
21.44 EUR -1.38%-2.99%-23.65%-.--%
235.7 USD -3.27%-3.69%-3.96%-.--%
18.26 EUR -0.44%+1.70%-1.08%-.--%
198.1 USD -0.17%-0.49%-21.90%-.--%
16.66 EUR -0.33%+0.51%+0.60%-.--%
30.18 EUR +2.31%-0.79%-0.33%-.--%
15.62 EUR 0.00%-1.05%-1.87%3,96%
1’799 GBX -0.94%-1.91%-3.07%3,80%
22.51 CNY -1.27%-7.06%+0.85%3,24%
25.36 USD -0.02%+5.11%-16.39%2,25%
35.65 BRL +0.71%+1.86%-7.11%2,17%
30.89 EUR +0.49%+4.15%+8.16%2,16%
42.26 GBX -1.08%-0.14%-12.18%1,85%
226.1 USD -1.85%-1.59%-4.27%1,71%
33.76 AUD -0.68%+0.03%+33.44%1,28%
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Beschreibung

ISIN Code US46654Q5009
Verwaltungsgebühren 0.49%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Erstellungsdatum
06.09.2022
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 22 M€
Volumen 1M 23 M€
Volumen 3M 23 M€
Volumen 6M 21 M€
Volumen 12M 10 M€
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