Einzelwerte Nomura Nikkei 300 Index Exchange Traded Fund ETF - JPY

ETF

974573

JP3013190008

1319

Markt geschlossen - Fukuoka Stock Exchange % 5 Tage % 1. Jan.
- JPY -.--% Intraday Chart für Nomura Nikkei 300 Index Exchange Traded Fund ETF - JPY -.--% -.--%

Zusammensetzung des Nomura Nikkei 300 Index Exchange Traded Fund ETF - JPY

Gewichtung
3’510 JPY +0.37%-0.34%+35.50%5,57%
12’770 JPY +0.08%+1.92%-4.77%2,98%
69’610 JPY +7.79%+11.20%+12.06%2,90%
1’552 JPY +0.06%+3.50%+28.15%2,04%
41’390 JPY -0.36%+2.15%+18.29%1,91%
168.2 JPY -0.71%+0.18%-2.38%1,87%
4’380 JPY +0.76%+3.01%-2.36%1,79%
5’010 JPY +5.12%+8.07%+29.39%1,71%
4’654 JPY +1.04%+2.38%-11.37%1,63%
5’906 JPY -6.37%-3.64%-0.19%1,52%
8’787 JPY -0.10%+2.94%+27.72%1,44%
7’649 JPY +3.28%+2.60%+3.94%1,37%
3’529 JPY +0.92%+2.23%+56.60%1,37%
7’782 JPY +2.35%+1.75%+23.66%1,35%
13’475 JPY +1.81%+1.09%+32.50%1,35%
4’089 JPY -0.02%+0.49%+0.86%1,34%
6’898 JPY -0.16%+6.06%+19.61%1,32%
34’230 JPY +1.88%+2.09%+35.54%1,32%
21’160 JPY +3.73%+10.12%-7.94%1,27%
7’519 JPY +1.86%+5.53%+41.92%1,20%
1’750 JPY +0.26%+0.20%+19.41%1,18%
6’641 JPY +1.92%+8.67%+11.37%1,18%
2’757 JPY -1.06%-2.22%+29.62%1,14%
4’852 JPY -0.16%-1.40%-9.17%1,08%
2’040 JPY -0.51%+2.20%+9.36%1,00%
4’902 JPY +1.98%+5.69%+38.91%1,00%
2’867 JPY +1.59%+7.10%-4.21%0,97%
18’340 JPY +0.19%+5.89%+4.06%0,94%
2’998 JPY 0.00%+1.90%+24.27%0,94%
80’730 JPY +3.50%+5.25%+6.56%0,90%
4’528 JPY +1.64%+6.17%+9.19%0,87%
4’214 JPY +3.64%-3.15%+16.41%0,79%
4’177 JPY +0.51%+2.58%+14.60%0,73%
2’426 JPY -2.30%-0.92%+14.01%0,73%
7’115 JPY +3.33%+7.93%+24.93%0,72%
6’725 JPY +0.21%+0.49%+15.15%0,72%
1’506 JPY +3.51%+1.72%-10.68%0,67%
3’566 JPY -0.64%+0.28%-0.50%0,67%
2’393 JPY -0.17%-2.64%+19.71%0,67%
4’636 JPY -0.02%+4.79%-9.06%0,63%
2’706 JPY +1.33%+4.18%+21.43%0,61%
4’264 JPY -1.68%-2.04%+15.62%0,60%
1’338 JPY +0.98%-1.55%-4.19%0,58%
3’909 JPY +1.35%+5.05%+27.08%0,57%
2’610 JPY +0.50%+2.84%+12.96%0,56%
2’174 JPY -0.57%+3.72%+6.57%0,55%
982.3 JPY +1.01%+3.54%-13.83%0,54%
2’878 JPY -0.09%+0.70%+6.21%0,54%
3’328 JPY +0.15%-0.06%+17.83%0,53%
378.8 JPY +1.28%+9.01%-24.19%0,52%
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Beschreibung

ISIN Code JP3013190008
Verwaltungsgebühren 0.52%
Anlageklassen
Währung
Fondsgesellschaft
Basiswert Nikkei 300 Index - JPY

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
12.04.1995
Dividenden-Politik

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 29.03.2024 )

Volumen (EUR) 26 M€
Volumen 1M 25 M€
Volumen 3M 23 M€
Volumen 6M 22 M€
Volumen 12M 21 M€
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