Einzelwerte Nikko Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY

ETF

A2ATNE

JP3048170009

1399

Markt geschlossen - Japan Exchange 08:00:00 26.04.2024 % 5 Tage % 1. Jan.
2’198 JPY +0.39% Intraday Chart für Nikko Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY +0.92% +5.77%

Zusammensetzung des Nikko Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY

Gewichtung
1’664 JPY +1.87%+1.93%+1.15%1,35%
7’058 JPY +2.47%+1.50%+38.77%1,15%
5’156 JPY +0.19%+0.14%+7.87%1,11%
2’240 JPY +0.43%-1.41%+45.47%1,08%
7’649 JPY +3.28%+2.60%+3.94%1,08%
5’957 JPY +0.17%+0.39%+14.36%1,05%
8’123 JPY +0.26%+3.27%+1.36%1,05%
6’385 JPY -0.34%+1.79%+10.09%1,04%
2’193 JPY +1.08%+3.15%+8.32%1,04%
2’145 JPY +0.66%+2.00%+0.33%1,04%
4’528 JPY +0.13%+3.50%-0.09%1,04%
2’542 JPY +0.89%+3.63%+18.84%1,03%
3’541 JPY -1.58%+5.70%+13.06%1,03%
1’462 JPY +2.67%+1.77%-0.95%1,03%
3’525 JPY +1.35%+2.26%+21.30%1,03%
1’928 JPY 0.00%+1.34%-6.34%1,03%
1’800 JPY +0.76%+3.90%+1.58%1,02%
1’068 JPY 0.00%-2.47%+2.79%1,02%
2’959 JPY +0.87%+4.39%+25.57%1,02%
1’426 JPY +0.11%+2.74%-9.97%1,02%
16’915 JPY +0.06%+1.14%+3.46%1,02%
448.6 JPY -0.31%+1.82%+2.33%1,01%
3’436 JPY -0.58%-0.64%+10.59%1,01%
2’926 JPY +4.89%+4.00%+22.40%1,00%
1’954 JPY -1.36%+0.75%+7.30%1,00%
10’330 JPY 0.00%-0.14%+41.84%1,00%
1’882 JPY +0.83%+4.53%+2.70%1,00%
1’878 JPY +1.57%+3.33%+6.76%1,00%
4’350 JPY +1.56%+3.08%+1.83%1,00%
4’528 JPY +1.64%+6.17%+9.19%1,00%
16’700 JPY +0.24%+5.70%+4.60%0,99%
2’628 JPY +1.00%+0.27%+14.84%0,99%
4’426 JPY +7.22%+8.99%+19.33%0,99%
168.2 JPY -0.71%+0.18%-2.38%0,99%
1’417 JPY -0.56%+2.57%-12.75%0,99%
14’255 JPY +2.41%+3.64%+35.12%0,99%
3’853 JPY +1.88%+3.88%+27.12%0,98%
2’756 JPY +2.07%+0.84%+22.17%0,98%
2’828 JPY +3.29%+3.16%+23.49%0,98%
2’384 JPY +4.56%+0.93%+12.72%0,98%
5’476 JPY -0.40%+0.81%-0.54%0,98%
4’214 JPY +3.64%-3.15%+16.41%0,97%
6’725 JPY +0.21%+0.49%+15.15%0,97%
2’737 JPY +0.90%+4.09%+29.68%0,97%
3’750 JPY +1.19%+4.84%+20.58%0,97%
5’066 JPY +0.60%+0.98%+51.27%0,97%
3’499 JPY -0.43%+1.86%+4.48%0,97%
4’380 JPY +0.76%+3.01%-2.36%0,97%
5’761 JPY +0.65%+1.64%+10.03%0,97%
4’177 JPY +0.51%+2.58%+14.60%0,96%
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Beschreibung

ISIN Code JP3048170009
Verwaltungsgebühren 0.35%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Japan IMI Custom Liquidity and Yield Low Volatility Price Return Index - JPY

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
30.11.2015
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 29.03.2024 )

Volumen (EUR) 31 M€
Volumen 1M 29 M€
Volumen 3M 29 M€
Volumen 6M 29 M€
Volumen 12M 25 M€
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