Einzelwerte Vanguard FTSE 250 UCITS ETF - GBP

ETF

A12CX0

IE00BKX55Q28

VMID

Verzögert Börse Stuttgart 19:00:15 10.05.2024 % 5 Tage % 1. Jan.
37.19 EUR +0.23% Intraday Chart für Vanguard FTSE 250 UCITS ETF - GBP +2.27% +6.46%

Zusammensetzung des Vanguard FTSE 250 UCITS ETF - GBP

Gewichtung
1’424 GBX +1.28%+4.24%+2.56%1,35%
3’330 GBX +0.48%+0.73%-11.88%1,18%
407.6 GBX -1.83%+0.99%+2.00%1,13%
1’181 GBX +1.29%+6.01%+12.05%1,08%
143.6 GBX -1.71%0.00%-5.21%1,08%
158.3 GBX +3.03%+2.00%-11.39%1,03%
525 GBX +0.42%-3.06%+2.94%1,00%
9’925 GBX -0.55%+4.69%+0.56%0,99%
159.2 GBX -1.24%+0.32%-5.74%0,98%
3’015 GBX +0.50%+2.03%+16.18%0,98%
1’258 GBX +0.64%+1.78%+13.13%0,97%
1’295 GBX +1.57%+0.62%+41.14%0,97%
2’728 GBX +2.33%+4.52%+6.23%0,95%
1’870 GBX +0.21%+3.66%+10.16%0,94%
102 GBX 0.00%+2.51%-10.37%0,87%
126 GBX -0.47%+3.11%-9.09%0,86%
862 GBX +3.16%+6.16%+17.44%0,85%
340.6 GBX +0.71%+4.80%+5.25%0,85%
779.5 GBX +0.13%+1.30%+1.83%0,85%
6.746 EUR +1.50%+1.66%-4.50%0,84%
257.6 GBX +0.78%-2.87%+10.75%0,84%
788 GBX +0.70%+3.28%+10.13%0,82%
674.5 GBX -0.66%+2.98%+2.35%0,81%
2’202 GBX +0.27%+2.80%-6.69%0,80%
129.2 GBX -0.62%+1.25%-5.97%0,80%
2’810 GBX +0.43%+3.23%+7.99%0,80%
198.6 GBX +1.33%+6.49%+9.15%0,73%
78.3 GBX +2.22%+8.75%+23.74%0,72%
1’178 GBX -0.17%+1.55%+10.92%0,70%
1’136 GBX -0.18%+1.79%-7.04%0,70%
1’968 GBX 0.00%-1.60%+4.57%0,70%
1’402 GBX +0.86%+0.57%-0.92%0,67%
912 GBX +1.05%+3.17%+8.51%0,65%
425 GBX +0.47%+1.92%+3.79%0,63%
565 GBX +0.71%+2.73%+12.33%0,62%
4’325 GBX -0.12%+2.13%+13.58%0,62%
202.8 GBX -0.59%0.00%+5.90%0,62%
521.5 GBX +0.77%+2.25%+32.03%0,61%
341.5 GBX -1.30%+1.04%+6.22%0,61%
300 GBX -0.37%+6.46%-2.79%0,60%
713.5 GBX -0.97%+2.15%-5.06%0,60%
2’630 GBX +1.39%+1.62%-5.80%0,60%
272 GBX +0.93%+2.06%+2.87%0,59%
215.4 GBX +0.28%+0.09%+30.98%0,58%
553 GBX +0.55%+3.66%+12.93%0,58%
140.4 GBX -1.13%+1.59%+1.67%0,58%
806 GBX -1.16%+1.26%-8.82%0,57%
694d.QxJn695VoOlrt6os2tk-iCqkmKLPd5IyOfu_0Kzh4xs.M2YLmr0C6IYa9sQctqAHxkXVr_eZPN15AbqOiuCFtVd1Jwqo6zT6ul7y8w

Beschreibung

ISIN Code IE00BKX55Q28
Verwaltungsgebühren 0.10%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE 250 Net Total Return Index - GBP

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
30.09.2014
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson
Qualifizierter Investor

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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