Einzelwerte NBI Sustainable Global Equity ETF - CAD

ETF

A3DV1F

CA62877W1095

NSGE

Verzögert Toronto S.E. 21:59:57 31.05.2024 % 5 Tage % 1. Jan.
39.24 CAD -0.46% Intraday Chart für NBI Sustainable Global Equity ETF - CAD -.--% -.--%

Zusammensetzung des NBI Sustainable Global Equity ETF - CAD

Gewichtung
203 USD -0.88%-2.88%+21.88%-.--%
146.9 USD +0.34%+0.45%-6.00%-.--%
573.9 USD +0.21%-0.46%-8.20%-.--%
263 USD -1.86%+2.76%+14.06%-.--%
240.9 USD +0.31%+4.28%-0.79%-.--%
18.94 EUR +0.64%-1.66%-41.18%-.--%
88.9 USD +0.63%-0.93%+7.92%-.--%
879 TWD -1.68%+4.89%+48.23%-.--%
3’531 GBX -0.25%+3.37%+13.54%-.--%
330.3 GBX -0.30%+1.60%+2.69%-.--%
140.3 NOK +1.08%+1.81%+13.65%-.--%
288.6 USD -1.06%+2.39%-17.63%-.--%
278.9 USD +0.67%+2.60%+7.37%3,02%
423.5 USD -0.23%+2.20%+12.82%2,99%
1’165 CHF -1.60%-3.40%-3.96%2,68%
200.2 USD -0.75%-4.93%+11.86%2,64%
491.5 USD -0.33%-0.29%-12.71%2,39%
188 EUR -0.29%+2.76%+0.78%2,36%
9’432 GBX +0.06%+2.95%+1.70%2,31%
32.08 USD -0.56%-3.08%+5.42%2,27%
465.7 USD +1.64%+4.50%-22.09%2,16%
135.7 USD -0.21%-1.96%-14.66%2,13%
38.01 EUR +3.68%+3.22%+0.56%2,11%
319.6 USD -0.74%-1.56%+12.96%2,11%
3’663 GBX -2.14%+1.55%+14.40%1,99%
1’310 USD -1.47%+1.70%+12.70%1,95%
958.9 EUR +0.15%+10.12%+40.66%1,85%
228 HKD -0.52%+3.92%+6.34%1,76%
99.3 USD -0.01%+0.79%+20.78%1,73%
82.16 CHF +0.27%+2.27%+25.17%1,72%
6’015 INR +0.88%+4.30%+5.44%1,69%
77’130 JPY +0.59%-0.86%+1.81%1,68%
75.48 USD -1.58%-5.49%+24.51%1,68%
302.1 USD +2.08%+2.57%+2.58%1,61%
400.9 USD -2.26%-3.30%+7.99%1,61%
4’396 GBX +0.16%+2.73%+15.68%1,60%
368.7 USD -0.69%-1.15%-7.35%1,58%
81.02 USD -0.34%-2.79%-9.79%1,56%
226.9 USD -1.56%+2.07%+3.48%1,56%
66.77 USD +0.41%-2.95%-9.37%1,55%
613.1 INR +2.66%+11.24%+10.03%1,52%
166.9 USD -0.92%+1.77%+14.27%1,51%
1’208 USD -0.14%+9.92%+143.35%1,46%
272.8 USD +0.30%-0.13%+18.31%1,40%
58.35 HKD -1.19%-2.42%-14.25%1,32%
35.6 USD -0.32%-0.06%-18.33%1,31%
208.2 CAD -0.47%+1.60%+12.14%1,31%
315.3 USD +0.03%-4.63%-10.24%1,29%
69’640 JPY -0.17%-0.37%+12.11%1,20%
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Beschreibung

ISIN Code CA62877W1095
Verwaltungsgebühren 0.74%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
23.01.2020
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 363 M€
Volumen 1M 352 M€
Volumen 3M 357 M€
Volumen 6M 333 M€
Volumen 12M 410 M€
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