Einzelwerte Principal Healthcare Innovators ETF - USD

ETF

A2PFHA

US74255Y4098

BTEC

Markt geschlossen - Nasdaq 22:15:00 18.04.2024 % 5 Tage % 1. Jan.
33.86 USD -1.60% Intraday Chart für Principal Healthcare Innovators ETF - USD -7.76% -6.80%

Zusammensetzung des Principal Healthcare Innovators ETF - USD

Kurs
%
% 5 Tage
% 1 Jahr
Gewichtung
63.48 USD +0.41%-12.98%-2.94%3,18%
145.2 USD -0.11%-4.56%-28.02%3,07%
281 USD -3.38%-9.89%-41.35%2,21%
116.6 USD -1.44%-10.80%-48.93%2,04%
116.6 USD -1.14%-6.35%-7.17%2,02%
67 USD -1.37%-8.46%+82.07%1,95%
13.57 USD +1.19%-8.00%+45.44%1,77%
24.95 USD -0.12%-12.02%+64.69%1,75%
40.81 USD -0.24%-3.98%+12.18%1,74%
87.28 USD -3.38%-9.75%+73.83%1,68%
72 USD -6.12%+5.93%+15.40%1,64%
42.14 USD +1.30%+0.31%+59.26%1,62%
241.2 USD -0.97%+3.82%-8.13%1,40%
88.9 USD +0.59%-3.63%+81.58%1,37%
28.95 USD -0.72%-20.36%-46.86%1,35%
17.07 USD -0.70%-1.95%-13.44%1,26%
50.49 USD -1.33%-10.46%+14.28%1,14%
23.77 USD -1.00%-4.88%-18.74%1,11%
24.8 USD -5.27%-13.17%+40.67%1,10%
29.94 USD -0.33%-4.28%-17.54%1,05%
10.33 USD -2.09%-7.93%-13.12%1,02%
63.06 USD -1.85%-7.26%+100.76%1,01%
95.13 USD -1.82%-4.16%+96.83%0,98%
38.64 USD -0.16%-6.94%-39.57%0,87%
65.72 USD -5.72%-8.38%-9.79%0,86%
42.16 USD -4.25%-21.18%+199.01%0,85%
43.38 USD -1.65%-14.44%+5.86%0,84%
164 USD -3.34%-8.88%+84.24%0,84%
22.61 USD +0.36%-11.95%-25.62%0,83%
112.1 USD +0.57%-2.37%-14.99%0,80%
35.83 USD -2.69%-4.22%+47.63%0,78%
16.59 USD -1.37%-13.46%-33.96%0,74%
54.5 USD +1.77%-9.42%+63.47%0,71%
21.34 USD -0.74%-14.67%-43.53%0,69%
23.48 USD -0.84%-7.12%+23.38%0,66%
87.24 USD -0.71%-7.14%+22.55%0,65%
1.46 USD +4.29%-56.80%-86.59%0,64%
13.99 USD +1.23%-5.22%-33.96%0,64%
4.91 USD -6.30%-18.98%+129.44%0,63%
42.47 USD -3.72%-3.72%+67.93%0,62%
96.9 USD +1.06%-3.82%-44.47%0,58%
7.4 USD -0.94%-17.04%+24.58%0,55%
19.2 USD +1.80%-7.38%-15.94%0,55%
24.32 USD +0.04%-10.82%-21.80%0,54%
37.62 USD -6.35%-13.44%+152.65%0,54%
11.72 USD -0.68%-11.14%+106.34%0,53%
30.93 USD -2.58%-8.68%-22.15%0,52%

Beschreibung

ISIN Code US74255Y4098
Verwaltungsgebühren 0.42%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
19.08.2016
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 27.03.2024 )

Volumen (EUR) 41 M€
Volumen 1M 47 M€
Volumen 3M 45 M€
Volumen 6M 42 M€
Volumen 12M 48 M€
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