Einzelwerte SPDR MSCI World UCITS ETF - Acc - USD

ETF

A2N6CW

IE00BFY0GT14

SWRD

Markt geschlossen - London S.E. 17:35:01 07.06.2024 % 5 Tage % 1. Jan.
28.84 GBX +0.13% Intraday Chart für SPDR MSCI World UCITS ETF - Acc - USD +1.72% +10.64%

Zusammensetzung des SPDR MSCI World UCITS ETF - Acc - USD

Gewichtung
423.6 USD -0.22%+2.38%+13.02%4,39%
195.8 USD +0.70%+1.85%+1.70%4,00%
1’203 USD -0.55%+10.15%+143.85%3,41%
184.6 USD -0.21%+4.94%+21.86%2,61%
175.6 USD -0.63%+2.03%+26.00%1,54%
493.8 USD +0.01%+6.25%+40.13%1,53%
851.6 USD +1.71%+3.93%+46.26%1,02%
1’407 USD +0.41%+6.57%+26.84%0,92%
200 USD +1.57%-1.02%+17.91%0,89%
176.6 USD -0.77%-0.71%-28.84%0,84%
113.2 USD -0.64%-3.24%+13.48%0,76%
493.3 USD -1.71%-0.28%-6.17%0,72%
279.1 USD +0.73%+2.55%+7.32%0,68%
984 DKK +1.10%+6.11%+40.95%0,68%
167.5 USD -0.56%+1.96%+14.48%0,62%
450.3 USD +0.35%+0.91%+5.77%0,61%
958.9 EUR +0.15%+10.12%+40.66%0,57%
147.4 USD +0.65%+0.61%-5.86%0,56%
327.2 USD -1.19%-2.12%-5.42%0,54%
130.7 USD +0.11%+4.13%+19.91%0,52%
843.9 USD +0.15%+4.45%+28.16%0,51%
156.4 USD +0.31%-3.43%+5.08%0,48%
169.8 USD +0.75%+5.38%+9.65%0,46%
98.02 CHF -0.33%+2.57%+0.52%0,44%
65.88 USD -1.89%+0.31%+25.53%0,43%
39.82 USD +0.92%-0.21%+18.52%0,43%
166.6 USD -0.11%+0.26%+13.52%0,42%
242 USD -0.31%+3.57%-7.72%0,42%
63.98 USD -0.26%+1.83%+8.74%0,40%
3’219 JPY -1.65%-3.33%+24.26%0,39%
170.9 USD -0.54%-0.90%+0.88%0,39%
2’732 GBX -0.15%-2.81%+6.26%0,38%
640.6 USD -1.23%+0.14%+31.96%0,38%
12’556 GBX -0.27%+3.00%+18.45%0,37%
762.5 EUR -0.03%+3.76%+3.94%0,36%
583.2 USD +0.58%+2.79%+9.99%0,36%
58.46 USD +1.27%-2.19%+19.07%0,35%
465.5 USD +1.60%+4.79%-21.88%0,34%
94.95 CHF -0.04%+1.91%+11.88%0,33%
434.5 USD +0.15%-0.13%+5.90%0,33%
256.1 USD -1.76%-0.78%-13.37%0,32%
101.6 USD +0.40%-2.10%+12.66%0,32%
45.96 USD -0.57%-0.96%-8.84%0,30%
125.3 USD +1.48%+6.88%+18.80%0,30%
288.4 USD -1.13%+2.36%-17.66%0,30%
205.2 USD -2.00%+0.88%+42.32%0,30%
177.4 EUR -0.20%+6.87%+27.16%0,30%
107.8 USD +3.40%+5.57%-1.99%0,29%
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ETF Ratings

Beschreibung

ISIN Code IE00BFY0GT14
Verwaltungsgebühren 0.12%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI World Daily Total Return Net Index - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
28.02.2019
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 5 891 M€
Volumen 1M 5 450 M€
Volumen 3M 4 628 M€
Volumen 6M 3 489 M€
Volumen 12M 2 272 M€
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