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
3’368 JPY -1.69%+4.89%+26.81%0,52%
3’310 JPY -2.93%-4.69%+2.48%0,51%
2’569 JPY +2.47%+4.01%-0.02%0,50%
1’518 JPY +0.83%+0.23%+20.56%0,49%
4’510 JPY +0.45%+5.67%+6.07%0,49%
5’483 JPY -0.02%+0.99%+4.28%0,49%
1’880 JPY -0.53%-1.00%-8.62%0,49%
6’089 JPY +5.73%+3.80%+11.93%0,48%
2’301 JPY -4.03%-6.33%+15.11%0,48%
6’586 JPY +2.08%+3.20%+24.52%0,47%
6’939 JPY +3.99%+6.05%+19.64%0,47%
15’140 JPY -0.75%+0.66%+31.65%0,46%
1’578 JPY +1.94%-2.53%+36.86%0,46%
3’616 JPY +0.36%-1.36%+20.86%0,45%
2’479 JPY +0.69%-1.12%+16.80%0,45%
3’336 JPY +1.74%+3.19%+5.87%0,45%
6’793 JPY +1.55%+3.79%-3.67%0,44%
2’902 JPY +1.66%+2.53%+57.01%0,43%
4’275 JPY -1.38%-3.65%+0.07%0,42%
21’115 JPY -0.07%+2.25%-13.09%0,42%
1’624 JPY -3.91%-1.40%-30.41%0,41%
2’933 JPY +1.84%+1.14%+50.95%0,40%
9’787 JPY +0.80%-2.37%+17.80%0,39%
551.9 JPY -4.27%-4.84%-0.42%0,38%
2’424 JPY +2.36%+3.72%+27.28%0,38%
10’730 JPY +1.42%+0.37%+5.66%0,37%
2’297 JPY +2.29%+0.35%+11.18%0,37%
3’141 JPY +5.58%+5.90%+11.13%0,37%
4’074 JPY +0.49%+2.93%-0.66%0,36%
3’166 JPY +3.06%+2.13%+37.73%0,35%
3’638 JPY +0.28%-0.79%+16.16%0,35%
20’685 JPY +0.27%-1.05%+9.56%0,34%
25’850 JPY +0.98%+0.06%+18.39%0,34%
7’489 JPY 0.00%+1.97%+10.16%0,34%
3’279 JPY +1.96%+1.02%+21.18%0,34%
3’136 JPY +1.29%+1.82%-0.98%0,34%
6’900 JPY -3.36%-0.62%+2.72%0,33%
1’281 JPY +3.14%-9.37%+55.44%0,32%
4’648 JPY +4.94%+8.47%+6.34%0,31%
2’670 JPY +0.95%+0.07%+12.64%0,30%
3’735 JPY +1.91%+1.25%+11.03%0,30%
887.3 JPY +0.89%+1.24%+39.14%0,29%
5’502 JPY +2.10%+1.78%+31.19%0,27%
3’121 JPY -0.86%-2.68%+6.14%0,27%
719.6 JPY +1.91%+2.11%+28.41%0,27%
4’944 JPY -2.56%-6.10%+16.44%0,27%
1’834 JPY +0.52%-3.83%+6.21%0,26%
4’302 JPY +3.59%+2.19%-12.58%0,26%
3’002 JPY +1.42%+0.18%-1.90%0,26%
10’725 JPY -0.74%-3.98%+28.44%0,26%
84a2efbe5cbf133f4119b24ede.WW60qBCqkwAaHlIR8gKEEtGcovVA6p5hdaFxTykH6zw.bVr3m1Lj52Fgbw0gpEXvRr3D66d1s_AlN9Y6OR41knkwLeztcdr0Y3gpZg

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 ( 30.04.2024 )

Volumen (EUR) 0 M€
Volumen 1M 0 M€
Volumen 3M 0 M€
Volumen 6M 0 M€
Volumen 12M 0 M€
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