Einzelwerte UBS ETF MSCI Emerging Markets Socially Responsible UCITS ETF A-dis - USD

ETF

A110QD

LU1048313891

UC79

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1’041 GBX +1.34% Intraday Chart für UBS ETF  MSCI Emerging Markets Socially Responsible UCITS ETF A-dis - USD +1.76% +3.02%

Zusammensetzung des UBS ETF MSCI Emerging Markets Socially Responsible UCITS ETF A-dis - USD

Gewichtung
943 TWD +2.39%+7.28%+59.02%5,14%
1’498 INR +0.62%-0.10%-2.90%3,60%
234’500 KRW +5.16%+12.74%+65.72%3,51%
115 HKD -1.54%+4.17%+40.42%3,11%
1’405 TWD +1.81%+10.20%+38.42%2,94%
9’200 IDR 0.00%-3.41%-2.13%1,97%
3’737 ZAR -2.86%-2.81%+19.47%1,86%
233.6 HKD +0.09%+2.46%+8.96%1,67%
1’429 INR +0.07%+0.25%+38.33%1,63%
2’484 INR +0.21%-3.11%-6.72%1,54%
140.1 MXN +1.94%+1.07%-17.96%1,53%
200.1 MXN +2.09%+0.07%-9.44%1,48%
1’720 INR +0.15%-1.48%-9.88%1,46%
166’800 KRW +0.42%-2.28%-25.54%1,33%
14.18 QAR +0.57%+2.24%-14.22%1,19%
70.51 ZAR +2.86%+11.32%-4.08%1,19%
348 TWD -1.14%+0.87%+11.00%1,16%
56.8 TWD +0.18%+3.09%+7.98%1,13%
2’962 INR +1.14%+5.50%+71.27%1,13%
351’500 KRW -0.99%-5.13%-29.56%1,12%
15.9 AED +0.51%-1.61%-19.04%1,08%
32.44 USD -3.74%-5.86%-23.90%1,03%
11.58 AED -0.17%-2.03%-17.05%0,98%
1’437 INR +0.43%+1.30%-1.97%0,98%
77 TWD +1.32%+1.32%+18.83%0,97%
37.9 TWD +1.74%+1.88%+33.69%0,95%
77’400 KRW -1.15%-1.28%+43.07%0,94%
2’918 INR -0.11%-0.65%-14.22%0,92%
199.4 ZAR +5.58%+9.24%-4.20%0,89%
128 TWD +0.39%+1.19%+6.67%0,87%
40.1 TWD +0.75%+1.91%+2.30%0,84%
11.68 HKD -1.85%+2.64%-60.54%0,84%
58.9 TWD +2.43%+1.20%+28.74%0,83%
4.06 MYR -0.49%-1.22%-5.36%0,80%
45’700 KRW -1.08%-1.08%+13.82%0,80%
245 ZAR -5.26%-15.64%-11.81%0,79%
171 TWD +2.40%+7.21%+26.67%0,79%
42’300 KRW -0.24%-1.86%-22.10%0,77%
4.425 USD -0.11%-0.67%-51.16%0,73%
28.85 TWD +0.52%-0.35%+11.82%0,69%
496 TWD +1.43%+2.48%+1.33%0,65%
82.25 ZAR +5.29%+2.53%-28.79%0,62%
9.93 MYR -0.10%-0.60%+11.70%0,61%
157.6 USD +0.57%+0.42%+5.56%0,59%
11.08 HKD +3.55%+4.14%+1.47%0,59%
58’400 KRW -0.17%-2.18%+34.56%0,58%
28.1 TWD +0.54%+1.08%+2.55%0,57%
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ETF Ratings

Beschreibung

ISIN Code LU1048313891
Verwaltungsgebühren 0.24%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Emerging Market SRI Low Carbon Select 5% Issuer Capped Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
04.09.2014
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson
Qualifizierter Investor

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 1 142 M€
Volumen 1M 1 201 M€
Volumen 3M 1 447 M€
Volumen 6M 1 525 M€
Volumen 12M 1 521 M€
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