Einzelwerte Pacer Lunt MidCap Multi-Factor Alternator ETF - USD

ETF

A2QRSA

US69374H7254

PAMC

Markt geschlossen - Nyse 22:10:00 21.06.2024 % 5 Tage % 1. Jan.
44 USD +0.04% Intraday Chart für Pacer Lunt MidCap Multi-Factor Alternator ETF - USD +1.17% +18.48%

Zusammensetzung des Pacer Lunt MidCap Multi-Factor Alternator ETF - USD

Gewichtung
240.1 USD +3.02%+4.92%+11.51%3,07%
86.86 USD -1.51%-0.83%+125.49%2,96%
303.4 USD -0.19%+0.58%+50.34%2,91%
381.3 USD -1.20%+1.08%+76.98%2,81%
177.7 USD +1.18%+0.63%+19.88%2,41%
417.2 USD -0.66%+2.94%+33.54%2,40%
281.9 USD +0.42%+1.74%+0.79%2,23%
388.4 USD +0.05%-6.28%+3.77%2,14%
117.1 USD +1.24%-1.84%+13.94%2,05%
472.2 USD -1.90%-1.22%+10.19%1,97%
62.48 USD +0.94%+4.20%+14.60%1,74%
79.5 USD +0.19%+0.26%-8.37%1,65%
216.5 USD -0.16%-4.46%+6.72%1,51%
543 USD -0.10%+1.69%+21.34%1,47%
359 USD +1.58%+2.63%+7.19%1,47%
170.4 USD +0.62%+1.78%+39.42%1,43%
116.1 USD -0.10%+4.07%+18.67%1,39%
479.6 USD -0.30%+1.88%+34.49%1,32%
78.01 USD -7.15%-7.66%-5.77%1,31%
139.2 USD +2.61%+1.84%-29.08%1,29%
105.2 USD +0.12%+2.15%+20.11%1,28%
392.6 USD -0.71%+2.86%+17.23%1,23%
404 USD +0.85%+2.57%+31.81%1,13%
144.7 USD +1.40%+3.56%+22.46%1,13%
414.8 USD +1.49%+4.00%+61.65%1,09%
205.9 USD -1.59%+6.89%+42.66%1,08%
51.55 USD +0.80%+4.06%+27.57%1,08%
542.5 USD +1.69%+0.69%-7.23%1,06%
137.7 USD -0.18%+0.09%+29.67%1,04%
316.3 USD -1.89%+0.78%+53.79%1,03%
165.4 USD -2.52%-3.18%+17.62%1,01%
6.67 USD -1.48%-4.03%+1.83%1,01%
78.13 USD -0.24%-0.53%+32.22%0,96%
33.47 USD -1.73%-5.05%+9.95%0,95%
216.4 USD -2.43%-1.39%+41.53%0,94%
238.7 USD -2.70%-5.41%+16.55%0,93%
58.56 USD -2.01%-2.76%-15.12%0,93%
224.3 USD -0.74%+2.86%+14.42%0,93%
187.9 USD +0.77%+3.11%-13.59%0,87%
21.39 USD +0.38%+4.60%+10.89%0,87%
117.3 USD +1.14%+3.36%-5.64%0,84%
55.31 USD +1.84%-0.32%+3.67%0,83%
55.69 USD +2.02%+0.89%+0.47%0,83%
194.8 USD -3.22%-1.26%+13.87%0,81%
460.6 USD +0.08%+1.74%+5.11%0,80%
522.8 USD +1.19%-0.17%-4.22%0,78%
134.6 USD +0.37%-0.65%+2.13%0,77%
64.48 USD -2.24%-4.73%+80.82%0,77%
275 USD -0.43%+3.30%+23.44%0,76%
44.38 USD +1.93%-3.33%-18.85%0,73%
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Beschreibung

ISIN Code US69374H7254
Verwaltungsgebühren 0.60%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
24.06.2020
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 56 M€
Volumen 1M 52 M€
Volumen 3M 42 M€
Volumen 6M 35 M€
Volumen 12M 32 M€
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