Einzelwerte Syntax Stratified U.S. Total Market Hedged ETF - USD

ETF

A3DZQ9

US87166N5023

SHUS

Verzögert Nyse 18:49:48 09.05.2024 % 5 Tage % 1. Jan.
40.94 USD +0.36% Intraday Chart für Syntax Stratified U.S. Total Market Hedged ETF - USD +1.56% +1.14%

Zusammensetzung des Syntax Stratified U.S. Total Market Hedged ETF - USD

Gewichtung
164.4 USD +1.13%+2.35%+10.28%0,71%
118.1 USD +1.67%+1.33%+17.81%0,71%
60.4 USD +0.51%+1.05%+14.81%0,66%
55 USD -0.68%-0.25%+20.21%0,64%
778.5 USD +1.98%+6.07%+17.69%0,63%
75.02 USD +0.53%+1.02%+2.57%0,63%
17.2 USD -0.15%-1.77%-34.05%0,55%
55.34 USD +0.77%+0.49%-29.81%0,55%
158.2 USD +0.74%+0.62%+21.78%0,50%
182.3 USD +0.74%-0.35%+22.88%0,49%
147 USD +0.07%+2.36%+10.61%0,48%
131.5 USD +1.52%-2.65%-10.18%0,46%
77.27 USD -0.05%+0.95%+11.02%0,46%
138.2 USD +0.92%+2.28%+5.73%0,46%
94.09 USD +0.66%+1.31%+18.09%0,45%
99.09 USD +0.60%+4.29%+5.52%0,45%
62.06 USD +0.05%+4.48%-14.14%0,45%
107.5 USD +0.63%+1.43%+13.57%0,45%
165.7 USD +0.41%+1.20%+13.15%0,45%
136.3 USD +0.26%-0.19%+12.12%0,45%
134.8 USD +1.53%+5.42%-2.74%0,45%
3’222 USD +1.22%+2.48%+40.80%0,45%
48.54 USD +1.94%+10.54%+12.26%0,44%
359.8 USD +0.23%+7.04%+14.95%0,44%
75.28 USD +2.41%+0.37%-21.66%0,44%
147.1 USD -0.62%-0.52%-10.47%0,44%
169.4 USD -0.33%+2.47%+31.80%0,44%
267.6 USD -0.34%-2.06%-9.73%0,44%
168.3 USD +1.91%+1.89%+16.53%0,43%
59.4 USD +0.46%-2.48%+10.59%0,43%
35.28 USD +0.47%-0.37%+9.90%0,43%
141.7 USD +0.94%+1.48%-0.60%0,43%
29.42 USD -0.08%+5.57%-1.98%0,43%
518.1 USD +0.29%+1.42%+26.13%0,43%
475.2 USD +0.54%+7.54%+34.19%0,41%
184.3 USD +0.85%+6.58%-4.21%0,41%
30.48 USD +2.20%-2.59%-16.49%0,38%
37.4 USD +0.96%+2.04%+3.60%0,35%
38.23 USD +1.08%+0.83%+6.42%0,35%
19.86 USD +2.50%+5.20%+3.45%0,34%
83.7 USD +0.59%+7.15%-7.10%0,34%
81.2 USD +7.10%+8.44%+57.58%0,34%
48.26 USD +0.85%+1.44%-7.25%0,34%
37.48 USD -0.07%+4.94%+4.30%0,33%
139.8 USD +0.93%-3.52%+7.73%0,33%
98.85 USD +0.61%+1.60%+5.09%0,33%
176 USD +3.86%+3.38%+15.22%0,33%
44.64 USD +0.78%+1.43%+10.59%0,33%
212.1 USD +1.99%+13.36%+80.55%0,33%
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Beschreibung

ISIN Code US87166N5023
Verwaltungsgebühren 1.30%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Erstellungsdatum
16.06.2021
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 0 M€
Volumen 1M 0 M€
Volumen 3M 0 M€
Volumen 6M 0 M€
Volumen 12M 0 M€
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