Einzelwerte OSSIAM BLOOMBERG EUROZONE PAB NR ETF - EUR

ETF

A2JN9T

LU1847674733

OP2E

Markt geschlossen - Euronext Paris 09:04:01 15.05.2024 % 5 Tage % 1. Jan.
153.6 EUR +0.22% Intraday Chart für OSSIAM BLOOMBERG EUROZONE PAB NR ETF - EUR +2.73% +10.85%

Zusammensetzung des OSSIAM BLOOMBERG EUROZONE PAB NR ETF - EUR

Gewichtung
131.3 SEK -1.24%+1.27%+5.28%0,66%
10.39 EUR +1.27%+2.36%-9.26%0,65%
123.9 EUR +1.72%+6.08%-7.05%0,65%
16.76 EUR +1.64%+2.82%+12.41%0,65%
215 EUR +2.63%+5.19%-10.23%0,64%
10.72 EUR +0.42%+1.85%+3.99%0,63%
3.727 EUR +0.65%+3.72%+40.99%0,61%
84.08 EUR -1.59%+3.04%+5.23%0,60%
82.66 EUR +1.72%+3.97%+24.00%0,58%
38.17 EUR 0.00%-0.08%-13.71%0,58%
16.74 EUR +0.30%+3.56%-6.61%0,57%
4.876 EUR -1.61%-0.93%+30.86%0,57%
27.44 EUR +0.66%+9.96%+14.19%0,57%
126.7 EUR -1.25%+1.85%+8.11%0,55%
102.2 EUR +0.05%-1.73%+2.57%0,53%
15.67 EUR -6.11%-1.54%+15.31%0,52%
70.02 EUR +1.60%-0.45%+19.24%0,50%
292.9 EUR +1.17%+5.74%-12.09%0,47%
106.2 EUR +0.14%-0.09%+26.37%0,47%
16.12 EUR -4.08%+0.34%-2.72%0,46%
165.8 EUR +4.77%+7.59%+15.09%0,45%
180.2 EUR -0.03%-3.56%-3.38%0,43%
64.66 EUR +0.53%+4.97%-0.34%0,38%
103.7 EUR +2.88%+6.85%-8.47%0,38%
47.79 EUR -0.08%+2.82%-11.73%0,36%
145.4 EUR 0.00%-1.46%+12.94%0,35%
36.26 EUR +1.10%+9.61%+34.35%0,35%
21.56 EUR +4.86%+4.86%-11.49%0,35%
3.54 EUR -3.21%+1.64%+15.97%0,35%
95.95 EUR +0.73%-3.18%-4.62%0,35%
15.06 EUR +5.13%+6.88%+39.96%0,35%
27.8 EUR +0.94%-1.63%+21.56%0,34%
78.25 EUR -1.51%-2.55%-0.52%0,33%
15.64 EUR -0.10%+1.62%+21.69%0,32%
51.8 EUR +2.07%+1.17%+6.08%0,32%
75.25 EUR +2.17%+2.45%+27.98%0,31%
6.356 EUR -0.41%+11.47%-14.18%0,30%
122.6 EUR +1.91%+1.07%+55.32%0,28%
3.454 EUR +0.38%+2.34%+10.78%0,26%
107 EUR +0.47%+3.03%+10.29%0,23%
34.26 EUR +0.82%+2.70%+9.32%0,23%
109.6 EUR +3.45%+10.17%-17.00%0,22%
94.86 EUR +0.96%+2.46%+3.18%0,20%
1’279 EUR +1.46%+5.30%+9.67%0,20%
224.8 EUR -0.97%-2.73%+3.93%0,19%
25.71 EUR +6.50%+13.96%+114.25%0,18%
2.684 EUR -0.07%-0.15%+18.76%0,17%
60.08 EUR +3.23%+4.27%+1.87%0,16%
42.06 EUR +2.21%+8.77%+10.80%0,16%
11.48 EUR +2.18%+2.78%+25.19%0,16%
60065b0cbe839263587ffa3b1a.GXgkt6VZT-ZyZZ0IxlZo9jqcR1FQ87oBhfYOpERrJUg.YwJdwNEuHKUzDbBj9TUStHOsLhljl4JLw75lkhE0ZxpVTUDFwGp-iyYEqQ

Beschreibung

ISIN Code LU1847674733
Verwaltungsgebühren 0.17%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert Bloomberg PAB Eurozone DM Large & Mid Cap Net Return Index - EUR

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
30.08.2018
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 331 M€
Volumen 1M 366 M€
Volumen 3M 374 M€
Volumen 6M 303 M€
Volumen 12M 258 M€
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