Einzelwerte OSSIAM US MINIMUM VARIANCE ESG NR UCITS ETF 1A Acc - USD

ETF

A2PZ96

IE00BHNGHW42

MVUS

Verzögert Swiss Exchange 05:55:01 18.06.2024 % 5 Tage % 1. Jan.
232.8 GBX +0.62% Intraday Chart für OSSIAM US MINIMUM VARIANCE ESG NR UCITS ETF 1A Acc - USD -0.91% +7.29%

Zusammensetzung des OSSIAM US MINIMUM VARIANCE ESG NR UCITS ETF 1A Acc - USD

Gewichtung
177.4 USD +0.79%-1.83%+10.63%4,50%
191.7 USD +1.62%+2.11%+16.24%3,73%
146 USD +0.28%-0.80%-6.88%3,65%
155.1 USD -0.51%-1.82%-9.15%3,12%
1’045 USD +0.85%+4.36%+19.02%3,09%
196.6 USD -0.27%-0.96%-6.65%2,89%
67.42 USD +0.60%+0.69%+28.30%2,55%
3’365 USD +2.87%+7.53%+47.16%2,54%
208.2 USD +2.12%-0.97%+30.74%2,46%
234.7 USD +0.93%+0.06%+14.28%2,34%
534.4 USD -0.08%-0.35%+13.32%2,31%
109.3 USD +1.49%+1.47%+15.59%2,30%
140.4 USD +0.69%+3.68%+15.59%2,23%
127.5 USD -1.53%-3.03%+16.95%2,21%
89.11 USD +0.02%-1.36%-24.71%2,20%
66.29 USD +1.21%-0.91%+1.77%2,08%
95.95 USD +1.41%+2.18%+20.37%2,06%
271.2 USD +0.19%-1.41%+4.16%2,00%
110.2 USD +1.59%+2.70%+17.49%1,98%
102 USD -0.15%-1.57%+8.47%1,81%
58.12 USD +1.04%-1.64%+3.95%1,77%
136.9 USD +0.10%-0.65%+4.79%1,68%
60.2 USD +0.60%-0.46%+0.82%1,66%
206.4 USD +1.35%+2.32%+15.23%1,66%
169.7 USD +0.65%-0.46%+9.49%1,63%
34.69 USD +1.91%+1.55%+4.11%1,51%
214.6 USD +2.04%+4.78%+17.86%1,43%
158.7 USD +1.06%-3.10%+13.40%1,39%
17.67 USD +0.17%-1.06%+5.30%1,34%
221.4 USD -0.32%-3.31%-9.87%1,28%
100.8 USD -1.52%-1.68%+3.87%1,22%
90.65 USD -0.24%-1.81%-0.35%1,15%
239 USD +1.61%-0.18%-8.78%1,14%
208.1 USD +1.11%-2.29%+9.26%1,14%
93.95 USD +0.44%-1.68%-1.19%1,12%
74.02 USD +1.04%-5.91%-6.89%1,06%
51.05 USD +1.33%-1.14%+11.68%1,06%
166.1 USD +1.42%+0.14%-2.18%1,02%
150.4 USD +3.05%+3.88%+8.66%1,00%
97.47 USD +0.35%-0.29%+8.94%0,98%
44.35 USD +2.54%-0.85%-9.88%0,97%
76.19 USD -0.74%-1.59%+31.79%0,96%
109.5 USD +0.14%-3.32%-5.63%0,95%
90.08 USD +1.89%+0.13%+4.13%0,89%
26.67 USD -0.22%-5.16%+4.51%0,87%
303.3 USD +1.56%-0.47%+5.30%0,86%
19.67 USD +0.41%-0.66%+11.51%0,82%
112.2 USD +0.54%-1.25%-11.24%0,79%
41.26 USD +0.22%-0.48%+18.46%0,76%
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Beschreibung

ISIN Code IE00BHNGHW42
Verwaltungsgebühren 0.65%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert Solactive US ESG Minimum Variance Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
07.06.2011
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 12 M€
Volumen 1M 12 M€
Volumen 3M 12 M€
Volumen 6M 13 M€
Volumen 12M 11 M€
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