Einzelwerte UBS (Irl) ETF Plc - Factor MSCI USA Prime Value ESG UCITS ETF (USD) A-dis - USD

ETF

A14XL9

IE00BX7RR706

UC96

Verzögert London S.E. 17:35:06 05.06.2024 % 5 Tage % 1. Jan.
2’716 GBX +0.72% Intraday Chart für UBS (Irl) ETF Plc - Factor MSCI USA Prime Value ESG UCITS ETF (USD) A-dis - USD +0.89% +5.03%

Zusammensetzung des UBS (Irl) ETF Plc - Factor MSCI USA Prime Value ESG UCITS ETF (USD) A-dis - USD

Gewichtung
158.3 USD -0.53%+1.18%-20.50%-.--%
62.79 USD -0.60%-1.04%+9.10%-.--%
- RUB - - - -.--%
- AUD -.--% - - -.--%
21.1 CAD -0.24% - - -.--%
0.3938 CAD -17.11% - - -.--%
0.214 EUR -.--% - - -.--%
- USD -.--% - - -.--%
- AUD -.--% - - -.--%
- EUR -.--% - - -.--%
- NOK -.--% - - -.--%
- GBX -.--% - - -.--%
- EUR -.--% - - -.--%
121.6 USD -0.50%+4.29%+37.82%-.--%
124.8 USD -1.20%+4.04%-1.67%-.--%
15.84 USD -0.60%+3.57%-38.95%-.--%
879.6 USD -1.20%-3.18%+6.02%-.--%
53.28 USD -0.92%+0.28%-3.22%-.--%
100.6 USD +0.45%-0.55%+25.26%-.--%
267.9 USD +0.01%+6.15%+15.97%-.--%
30.8 USD +0.08%+0.13%-5.55%-.--%
79.62 USD -0.03%-1.86%+1.35%-.--%
59.86 USD +0.09%+1.13%+7.33%-.--%
47.26 USD -0.49%+0.14%-18.20%-.--%
209 USD +0.30%-1.22%+10.19%-.--%
137.6 USD -1.52%-1.07%+20.59%-.--%
423.1 USD -0.22%+2.03%+12.51%-.--%
116.6 USD -0.25%+0.99%+8.36%-.--%
149.7 USD -0.19%+0.92%+6.49%-.--%
132.6 USD -0.48%+2.75%-11.29%-.--%
79.2 USD -1.33%+0.33%+9.46%-.--%
784.4 USD -0.57%+3.03%-3.30%-.--%
231.8 USD -2.10%+6.03%-9.83%-.--%
200.8 USD -0.35%-2.01%+4.15%-.--%
88.56 USD +0.21%+0.98%+7.68%-.--%
540.9 USD +0.16%+6.86%+14.97%-.--%
61.36 USD +0.48%+1.96%-15.09%-.--%
74.53 USD +0.05%+0.54%-3.63%-.--%
501.1 USD -0.40%+4.48%-4.42%2,67%
963.1 USD -0.88%+0.65%+22.16%2,55%
335 USD +0.25%+1.27%+11.95%2,41%
266.1 USD +0.74%+0.51%+17.92%2,27%
247.4 USD +0.66%+3.18%+6.70%2,14%
136.5 USD -0.77%-0.16%-13.10%2,04%
60.44 USD -0.43%+7.73%-23.54%1,98%
321.1 USD -0.65%-0.95%+31.99%1,65%
65.8 USD +3.57%+5.32%+7.21%1,14%
634.3 USD -1.03%-3.83%+10.56%1,04%
71.08 USD -1.20%-0.53%+23.49%1,01%
158.2 USD -0.72%+0.73%+6.13%0,86%
272.9 USD -1.08%-2.35%+26.59%0,86%
363.5 USD +0.68%+4.99%-20.34%0,86%
74.04 USD -1.09%+0.60%+21.59%0,78%
34.1 USD -0.48%-1.43%-7.64%0,76%
268.8 USD -0.58%-3.85%+25.56%0,68%
37.35 USD -0.37%+1.14%+22.76%0,61%
85.94 USD -0.55%-1.16%-7.76%0,61%
135.9 USD -0.69%-1.84%-14.56%0,60%
113.1 USD +0.44%-0.98%-6.89%0,57%
8203915c66e7d7c.jhpKvpyCNfmn2roAijh--eZMhgnkd3GfHSS7PNKJRfQ.wGIV1cjnd62Rv-lfvEkYitAq4UuMPROqKXbwfqrkKYfkSRjPqbEBrea-gg

Beschreibung

ISIN Code IE00BX7RR706
Verwaltungsgebühren 0.25%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI USA Prime Value ESG Low Carbon NTR Index - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
25.08.2015
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 302 M€
Volumen 1M 330 M€
Volumen 3M 285 M€
Volumen 6M 199 M€
Volumen 12M 461 M€
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