Einzelwerte SPDR EURO STOXX Low Volatility UCITS ETF - EUR

ETF

A1W8WD

IE00BFTWP510

ZPRL

Schlusskurs Xetra 00:00:00 11.12.2023 % 5 Tage % 1. Jan.
45.2 EUR +0.03% Intraday Chart für SPDR EURO STOXX Low Volatility UCITS ETF - EUR +1.62% +12.79%

Zusammensetzung des SPDR EURO STOXX Low Volatility UCITS ETF - EUR

Gewichtung
3.413 EUR -0.84%+0.53%+9.46%1,56%
140.5 EUR +0.74%+2.03%+3.46%1,39%
74.57 EUR +1.32%+3.14%+2.03%1,32%
11.51 EUR -1.26%-0.43%-3.20%1,29%
37.6 EUR -1.00%-2.23%-6.32%1,29%
58.82 EUR +0.27%-1.28%+0.27%1,28%
33.71 EUR -0.50%-1.29%+2.24%1,24%
42.35 EUR -0.91%-2.04%+1.17%1,22%
162.7 EUR +0.43%+1.56%+2.58%1,21%
10.42 EUR -0.57%-5.66%+1.08%1,18%
27.38 EUR -0.36%+1.41%+19.72%1,15%
76.05 EUR +0.73%+0.46%-0.78%1,14%
267 EUR +0.28%-1.33%+10.31%1,14%
21.5 EUR -1.35%-1.24%-1.24%1,12%
184.7 EUR +0.18%-3.06%+4.88%1,12%
69.9 EUR -0.36%-0.50%-1.71%1,11%
111 EUR +0.36%-0.45%-2.37%1,11%
20.92 EUR +0.77%+1.85%-14.12%1,10%
9.544 EUR -0.44%-4.75%-1.36%1,09%
26.15 EUR -3.36%-4.32%+3.08%1,09%
7.476 EUR -0.98%-1.61%-1.01%1,09%
15.66 EUR -0.41%-2.19%+5.03%1,09%
91.66 EUR +0.46%+1.10%-0.28%1,08%
140.8 EUR -0.25%-1.16%+9.40%1,08%
22.94 EUR +0.04%-0.65%+20.07%1,08%
56.96 EUR +0.96%+2.18%-2.33%1,05%
4.292 EUR -0.90%-1.96%-7.82%1,05%
34.24 EUR -0.29%+1.97%+20.99%1,04%
6.1 EUR -0.57%-2.40%+7.87%1,04%
181.1 EUR -0.58%-3.88%-2.98%1,04%
35.72 EUR +0.90%+1.48%+8.71%1,04%
100.6 EUR -0.05%+0.10%+3.64%1,03%
23.85 EUR -0.38%+0.59%-11.63%1,03%
57.45 EUR -5.04%-4.49%+17.63%1,03%
6.192 EUR -0.13%+1.23%-7.95%1,03%
413.1 EUR -0.29%-4.97%+10.21%1,02%
34.69 EUR +0.09%-5.50%+1.67%1,01%
204.8 EUR -0.05%-1.96%+28.50%1,01%
37.95 EUR +0.88%+1.17%+0.66%1,01%
12.41 EUR -0.46%-0.92%+2.10%1,01%
38.02 EUR -1.00%-6.58%-4.01%1,01%
15.98 EUR +1.65%+1.78%-3.56%0,99%
16.32 EUR +0.40%+1.87%+2.49%0,99%
74.95 EUR -0.44%-0.72%-9.93%0,99%
32.54 EUR -0.25%-0.61%+44.62%0,99%
59.9 EUR -1.48%-2.44%+11.75%0,98%
81.3 EUR +0.56%+1.25%+3.36%0,98%
103.2 EUR -1.81%+1.18%+14.14%0,98%
43.52 EUR -0.81%-5.78%+9.99%0,98%
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ETF Ratings

Beschreibung

ISIN Code IE00BFTWP510
Verwaltungsgebühren 0.30%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert EURO STOXX Low Risk Weighted 100 Net Total Return Index - EUR

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
24.03.2014
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 24 M€
Volumen 1M 26 M€
Volumen 3M 34 M€
Volumen 6M 36 M€
Volumen 12M 61 M€
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