Einzelwerte Simplify US Equity PLUS GBTC ETF - USD

ETF

A3D8VW

US82889N8487

SPBC

Markt geschlossen - Nasdaq 22:15:00 30.04.2024 % 5 Tage % 1. Jan.
31.72 USD -2.22% Intraday Chart für Simplify US Equity PLUS GBTC ETF - USD -1.86% +11.57%

Zusammensetzung des Simplify US Equity PLUS GBTC ETF - USD

Gewichtung
389.3 USD -3.21%-4.48%+3.53%5,93%
170.3 USD -1.83%+2.06%-11.53%5,10%
864 USD -1.54%+4.83%+74.47%3,77%
175 USD -3.29%-2.53%+15.18%3,10%
430.2 USD -0.57%-13.29%+21.53%2,10%
162.8 USD -2.03%+2.86%+16.53%1,58%
781.1 USD +5.95%+4.75%+34.00%1,16%
1’300 USD -2.86%+4.09%+16.49%1,10%
183.3 USD -5.55%+26.68%-26.24%1,08%
191.7 USD -0.80%-0.21%+12.72%1,04%
483.7 USD -1.09%-0.51%-8.12%0,88%
268.6 USD -1.19%-2.01%+3.17%0,87%
118.3 USD -1.15%-2.28%+18.29%0,81%
451.2 USD -1.29%-2.51%+5.79%0,76%
144.6 USD -1.52%-3.32%-7.75%0,75%
334.2 USD -0.77%-1.41%-3.56%0,73%
163.2 USD +0.95%+1.05%+11.37%0,72%
722.9 USD -0.47%+0.03%+9.52%0,64%
129.2 USD -0.69%+1.84%+18.53%0,62%
158.4 USD -1.14%+4.01%+7.44%0,60%
162.6 USD +0.69%-4.07%+4.95%0,60%
268.9 USD -2.47%-2.80%+2.20%0,58%
161.3 USD -3.04%-0.97%+8.12%0,51%
550.6 USD -1.58%-4.69%+13.10%0,51%
462.8 USD -2.16%-2.13%-22.42%0,49%
59.35 USD -1.48%+0.44%+12.94%0,48%
37.01 USD -1.44%-3.54%+9.92%0,46%
300.9 USD -0.74%-5.02%-14.25%0,45%
61.77 USD -0.44%+1.86%+4.82%0,45%
175.9 USD -0.13%+2.74%+3.57%0,44%
568.7 USD -1.42%-1.02%+7.15%0,42%
441 USD -0.92%-0.92%+7.37%0,42%
273 USD -0.19%-1.39%-7.92%0,41%
106 USD -1.21%-1.51%-3.72%0,40%
111.1 USD -0.87%-2.30%+23.05%0,39%
59.32 USD -0.80%-2.66%+20.52%0,39%
46.98 USD -1.67%-2.77%-7.01%0,38%
625.6 USD -2.00%-0.83%+0.09%0,36%
30.47 USD -2.84%-11.11%-39.36%0,35%
113.8 USD -2.35%-1.16%+7.89%0,34%
165.8 USD -1.98%+2.79%+14.67%0,34%
38.11 USD -1.90%-5.57%-13.09%0,33%
161.8 USD -1.62%-0.49%+26.79%0,33%
334.6 USD -4.35%-7.90%+13.16%0,33%
166.2 USD -0.73%-8.78%+1.62%0,33%
198.6 USD -3.22%+2.80%+22.57%0,33%
39.49 USD -1.50%-0.53%+4.75%0,32%
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Beschreibung

ISIN Code US82889N8487
Verwaltungsgebühren 0.50%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
24.05.2021
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 27.03.2024 )

Volumen (EUR) 18 M€
Volumen 1M 11 M€
Volumen 3M 8 M€
Volumen 6M 4 M€
Volumen 12M 6 M€
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