Einzelwerte UBS (Irl) ETF plc Factor MSCI USA Low Volatility UCITS ETF (hedged to EUR) A-acc - EUR

ETF

A14Y6U

IE00BWT3KJ20

UBUV

Realtime BOERSE MUENCHEN 11:17:16 03.06.2024 % 5 Tage % 1. Jan.
26.82 EUR +1.13% Intraday Chart für UBS (Irl) ETF plc  Factor MSCI USA Low Volatility UCITS ETF (hedged to EUR) A-acc - EUR -1.16% +3.63%

Zusammensetzung des UBS (Irl) ETF plc Factor MSCI USA Low Volatility UCITS ETF (hedged to EUR) A-acc - EUR

Gewichtung
82.84 USD +0.69%+1.35%-31.94%-.--%
73.37 USD +2.60%+2.85%+1.42%-.--%
495.4 USD +2.85%-2.52%-5.91%-.--%
59.6 USD +6.35%+7.31%-24.52%-.--%
202.2 USD +0.64%+1.27%-3.57%-.--%
146.9 USD +1.09%-0.07%-6.30%1,03%
172.9 USD +1.37%-2.88%+1.78%0,95%
92.96 USD +2.23%-0.36%+16.62%0,94%
258.9 USD +2.71%+0.30%-12.69%0,89%
62.93 USD +1.55%+1.50%+6.79%0,87%
34.26 USD +1.02%+0.19%+2.81%0,84%
197.8 USD +2.43%+0.42%+6.11%0,83%
185.2 USD +1.71%-0.87%+12.30%0,81%
210.7 USD +2.17%+0.92%+17.66%0,81%
53.06 USD +2.53%+1.69%-7.59%0,78%
164.5 USD +1.21%-0.48%+12.28%0,78%
60.34 USD +1.69%-1.15%+7.92%0,77%
164.3 USD +1.68%-0.69%+10.08%0,77%
68.53 USD +0.91%+0.34%-5.38%0,75%
137.4 USD +1.92%-0.16%+5.18%0,74%
111.6 USD +3.42%+1.70%-11.66%0,73%
116.5 USD +3.35%+3.16%+5.69%0,73%
103.6 USD +2.24%+1.37%+6.73%0,72%
68.75 USD +3.15%+0.66%+5.54%0,72%
80.14 USD +2.64%+3.07%+14.29%0,70%
76.8 USD +1.96%+2.74%+10.36%0,69%
41.12 USD +2.17%-0.28%-19.85%0,69%
133.3 USD +2.80%+1.03%+9.70%0,68%
107 USD +2.54%+0.51%+13.17%0,68%
215.7 USD +1.51%+1.11%+13.23%0,68%
44.9 USD +1.38%+0.56%-9.02%0,67%
208.6 USD +1.68%-3.03%-3.90%0,67%
44.38 USD +1.84%-2.12%+2.66%0,67%
299.8 USD +1.25%+0.05%+15.44%0,66%
94.55 USD +2.27%+0.13%+3.94%0,66%
56.4 USD +0.57%-0.67%-12.98%0,66%
81.03 USD +2.23%+0.41%-3.73%0,65%
28.71 USD +2.32%+1.45%-9.94%0,64%
90.21 USD +2.30%+1.39%+11.07%0,64%
169.6 USD +1.13%-2.35%+2.84%0,64%
51.51 USD +2.66%+3.12%+0.41%0,64%
81.03 USD +1.92%+2.19%+14.58%0,63%
55.45 USD +2.08%+3.22%-10.43%0,62%
161.2 USD +3.15%+2.66%+4.05%0,62%
62.93 USD +2.61%+2.44%+8.37%0,62%
207.6 USD +1.56%-0.15%+9.56%0,62%
54.66 USD +2.53%+2.30%+4.71%0,61%
305.8 USD +1.59%-0.01%+6.17%0,60%
10.17 USD +2.94%+2.31%+5.50%0,60%
6e65854236a81a2a9.MJ4pEHXto_WP3ZZDn86cTgs0-AJVlw2iyzXEXWZBRuI.etVhdUGFx7b5i8A7zpjVekJ4jnYMpkqRj02bOTYHHId8535xNNvhgt289Q

Beschreibung

ISIN Code IE00BWT3KJ20
Verwaltungsgebühren 0.21%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI USA Select Dynamic 50% Risk Weighted 100% hedged to EUR Net Total Return Index - EUR

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
09.12.2015
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 5 M€
Volumen 1M 6 M€
Volumen 3M 5 M€
Volumen 6M 5 M€
Volumen 12M 6 M€
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