Einzelwerte Vanguard FTSE 250 UCITS ETF - Acc - GBP

ETF

A2PFN5

IE00BFMXVQ44

VMIG

Verzögert London S.E. 11:18:11 13.05.2024 % 5 Tage % 1. Jan.
36.34 GBX -0.24% Intraday Chart für Vanguard FTSE 250 UCITS ETF - Acc - GBP +2.40% +6.04%

Zusammensetzung des Vanguard FTSE 250 UCITS ETF - Acc - GBP

Gewichtung
196.6 GBX +0.87%+2.61%+3.70%0,42%
1’312 GBX +2.18%+2.01%-13.27%0,40%
119.7 GBX -0.42%+0.67%+20.64%0,40%
1’182 GBX +0.34%+2.98%+21.36%0,40%
2’215 GBX +0.05%-0.81%+33.13%0,40%
6’335 GBX -1.17%-1.25%+38.73%0,39%
115.2 GBX -0.51%+0.36%+12.51%0,39%
311.1 GBX -0.35%-2.14%+6.07%0,39%
1’020 GBX -0.83%+0.79%-7.20%0,38%
505.5 GBX -0.49%+1.77%-17.16%0,38%
2’398 GBX -1.13%+1.38%+4.47%0,37%
4’012 GBX -1.77%-3.61%+11.93%0,37%
86.5 GBX +0.23%+3.98%+11.50%0,37%
107.4 GBX +0.37%-0.48%+0.84%0,37%
359.5 GBX +0.14%-0.02%+18.26%0,37%
929 GBX +0.32%+4.26%+14.04%0,37%
496.2 GBX -2.32%+5.93%-37.11%0,36%
1’462 GBX -0.41%-0.68%+6.10%0,36%
171.2 GBX +0.79%+2.21%-2.17%0,36%
203 GBX +3.68%+22.30%+17.26%0,35%
125.4 GBX -0.12%+1.99%+25.92%0,35%
401.8 GBX +0.19%+1.01%+0.26%0,35%
3’522 GBX +0.36%-1.94%-0.83%0,35%
618.5 GBX -0.24%+1.00%+5.30%0,34%
738 GBX 0.00%+5.14%+23.97%0,34%
1’819 GBX -0.60%+0.89%+12.28%0,34%
28.7 GBX 0.00%+1.13%+1.27%0,34%
98.28 GBX +0.13%-0.51%+4.24%0,33%
329.2 GBX +0.08%+0.52%-4.18%0,33%
741.5 GBX -0.07%+1.71%+8.24%0,33%
2’175 GBX +0.23%+1.40%+13.42%0,33%
74 GBX +0.54%-1.21%-14.85%0,33%
386 GBX -2.15%+5.62%+8.98%0,33%
272.2 GBX -0.30%+0.50%-0.96%0,32%
1’010 GBX -1.94%+1.71%-9.38%0,32%
1’783 GBX -0.50%+1.14%+2.18%0,32%
885.1 GBX -0.10%+0.99%+10.45%0,32%
499.2 GBX -0.15%+1.63%+3.91%0,31%
4’769 GBX +0.09%-0.02%+1.90%0,31%
198.7 GBX -0.25%+2.18%-10.66%0,31%
138.4 GBX +0.71%+0.09%-2.31%0,31%
245.4 GBX +0.15%+0.72%+11.48%0,31%
598.7 GBX -0.21%+0.34%+7.54%0,31%
382.5 GBX -0.78%0.00%+9.13%0,30%
897.7 GBX -0.03%+1.55%+3.78%0,29%
516.2 GBX +0.62%+0.23%-3.51%0,29%
460.2 GBX -0.16%+5.30%+13.26%0,29%
2’408 GBX -0.52%-0.98%+8.41%0,29%
871.2 GBX +4.97%+16.18%+8.73%0,29%
355.1 GBX -1.09%+3.36%+13.76%0,28%
0b5a60756607134.LpQslbylFpCeNUvHPf_2HEjKaMFqIp0C_Hbpk35ZqnA.RqYazdL1ZfHMZBy1VNK7UQGGBYJHevpjjAax5E4D7CRX_Fnj_-tVvc8GJA

Beschreibung

ISIN Code IE00BFMXVQ44
Verwaltungsgebühren 0.10%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE 250 Net Total Return Index - GBP

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
14.05.2019
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

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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