Einzelwerte VanEck Sustainable European Equal Weight UCITS ETF - EUR

ETF

A14PPP

NL0010731816

TEET

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72.85 CHF -0.08% Intraday Chart für VanEck Sustainable European Equal Weight UCITS ETF - EUR -1.58% +13.16%

Zusammensetzung des VanEck Sustainable European Equal Weight UCITS ETF - EUR

Gewichtung
33.92 EUR -0.80%+1.60%+25.68%1,47%
298.2 NOK +1.31%-1.55%-7.45%1,37%
746 GBX +0.21%-4.04%+11.91%1,32%
1’930 DKK -0.54%-0.36%-10.44%1,28%
188 EUR -0.29%+2.76%+0.78%1,28%
149.6 EUR -0.53%+2.40%+16.20%1,28%
412.9 USD -0.96%+0.47%+22.01%1,26%
22.59 EUR -0.18%+1.35%+3.86%1,26%
2’240 GBX +1.73%+2.19%+4.38%1,22%
462 EUR -0.15%+0.90%+23.17%1,21%
94.95 CHF -0.04%+1.91%+11.88%1,20%
4’506 GBX -0.44%+1.21%-16.86%1,19%
12’556 GBX -0.27%+3.00%+18.45%1,19%
98.02 CHF -0.33%+2.57%+0.52%1,17%
479.6 CHF +0.15%+1.25%+9.10%1,16%
38.38 EUR -4.24%-2.02%+12.82%1,15%
45.67 EUR -0.70%+4.84%+15.83%1,14%
354.6 EUR +0.51%+4.08%+3.23%1,13%
3’531 GBX -0.25%+3.37%+13.54%1,13%
242.6 CHF +1.89%+5.02%-0.78%1,13%
16.39 EUR +0.28%+0.13%+21.14%1,12%
455.4 EUR -0.18%+0.72%+1.04%1,12%
9’432 GBX +0.06%+2.95%+1.70%1,11%
77.3 EUR -0.58%-0.64%-1.73%1,11%
100.2 SEK +1.66%+1.58%-8.45%1,11%
3.622 EUR -0.14%+0.88%+18.69%1,11%
283.6 SEK +1.00%+5.23%+13.44%1,09%
60.02 EUR +0.27%+1.52%+2.28%1,08%
208.8 EUR +0.48%+1.70%+14.98%1,07%
28.08 EUR -0.25%-1.61%+7.94%1,07%
41.4 EUR +0.45%+9.38%-8.49%1,07%
28.23 EUR -1.43%-1.22%+9.38%1,06%
33.18 EUR -0.69%+0.39%+12.51%1,06%
195.2 EUR +0.90%+5.20%+3.44%1,06%
9.894 EUR +0.98%-0.46%+20.28%1,05%
50.44 CHF -0.36%+2.11%+35.23%1,04%
82.16 CHF +0.27%+2.27%+25.17%1,04%
26.02 EUR +0.04%-5.00%+8.30%1,03%
10.06 EUR -4.10%-6.20%-2.37%1,03%
128.5 SEK +1.34%-0.39%+3.03%1,03%
4’314 CHF -0.23%+1.82%+23.82%1,02%
67.64 EUR -0.03%+3.52%+4.25%1,02%
3’663 GBX -2.14%+1.55%+14.40%1,02%
1’787 GBX +0.14%+1.82%-3.72%1,01%
202.5 NOK -0.64%-1.32%-6.25%0,98%
4.378 EUR -0.86%+2.17%+23.88%0,98%
77.36 USD -1.33%-5.38%+11.86%0,98%
91.13 EUR +0.13%+1.53%+1.53%0,98%
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Beschreibung

ISIN Code NL0010731816
Verwaltungsgebühren 0.40%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert Solactive European Equity Index GTR - EUR

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
01.10.2014
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 51 M€
Volumen 1M 48 M€
Volumen 3M 47 M€
Volumen 6M 48 M€
Volumen 12M 46 M€
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