Einzelwerte Vanguard FTSE 250 UCITS ETF - Acc - GBP

ETF

A2PFN5

IE00BFMXVQ44

VMIG

Verzögert London S.E. 13:04:50 13.05.2024 % 5 Tage % 1. Jan.
36.3 GBX -0.36% Intraday Chart für Vanguard FTSE 250 UCITS ETF - Acc - GBP +2.40% +6.04%

Zusammensetzung des Vanguard FTSE 250 UCITS ETF - Acc - GBP

Gewichtung
76.6 GBX +0.26%+2.10%+6.35%0,19%
308 GBX -0.32%+1.25%+10.50%0,19%
90.5 GBX +0.45%+0.45%-11.45%0,19%
169.8 GBX -1.16%+1.19%+11.27%0,18%
142.7 GBX -0.90%-3.22%-9.14%0,18%
601.1 GBX -0.81%-0.15%-2.74%0,18%
118.4 GBX +0.17%-3.59%-7.53%0,18%
407 GBX -0.49%-0.73%+15.30%0,18%
121.2 GBX +0.33%-0.33%-1.46%0,18%
50.15 GBX -0.69%-0.80%-14.46%0,17%
628.5 GBX -0.55%+0.87%+11.21%0,17%
153.2 GBX -0.78%+1.25%+1.32%0,17%
709 GBX 0.00%+1.72%+15.08%0,17%
430.5 GBX +0.71%-1.14%+3.00%0,17%
77.1 GBX +0.65%+3.07%-16.56%0,17%
204.6 GBX -0.78%+2.93%-6.17%0,17%
81.2 GBX -0.12%+1.50%-5.91%0,16%
78.98 GBX -0.35%+1.67%-10.72%0,16%
1’092 GBX -1.93%-1.89%-2.06%0,16%
76.39 GBX +2.54%+3.93%-15.12%0,15%
208.2 GBX -4.03%+2.96%+40.40%0,15%
64.72 GBX +0.74%+2.55%+27.84%0,15%
654 GBX -0.15%-0.15%+18.09%0,15%
186.7 GBX -1.74%+1.08%+10.14%0,15%
140.5 GBX +0.36%+1.00%-8.32%0,15%
219.8 GBX -1.01%-1.05%+13.11%0,15%
59.55 GBX -0.42%-5.89%-0.23%0,15%
203 GBX +0.74%-3.33%+19.69%0,15%
483 GBX 0.00%-3.39%-7.28%0,14%
63.5 GBX +1.28%+5.22%-25.07%0,14%
70.5 GBX +0.14%-1.13%+13.06%0,14%
36.72 GBX -1.61%+5.19%-5.51%0,13%
580.5 GBX -0.77%+0.53%+13.26%0,13%
156 GBX +0.78%+0.64%-0.26%0,13%
372 GBX +0.13%-0.27%+26.05%0,13%
86.3 GBX +1.65%+5.51%-7.94%0,12%
386 GBX 0.00%+8.45%-16.03%0,12%
79.9 GBX +1.27%-1.35%+10.21%0,12%
4’020 GBX -1.23%-2.66%+4.15%0,11%
106.1 GBX +0.66%+4.53%-30.81%0,11%
456.5 GBX -0.11%+0.22%+6.03%0,10%
158.2 GBX -2.83%+1.93%+47.71%0,10%
104.1 GBX -0.10%-4.05%+5.36%0,10%
538.5 GBX -6.18%+0.17%+23.44%0,09%
164.8 GBX +0.39%+1.75%+31.87%0,09%
48.25 GBX -1.33%-3.41%-46.54%0,08%
1’475 GBX +0.34%0.00%+22.92%0,07%
118.3 GBX +0.25%-0.17%-18.17%0,05%
73 GBX +1.67%+10.61%-18.89%0,04%
122.5 GBX -0.42%+1.23%+51.22%0,04%
0fc.QuCl9MdftW7zrXvflWwJflenu-G9hHISbh3_hTdvxd4.DbnUrK8K2C-R7ja69wh8DC_Mw6ru3C1XCHDN_0YGhqR00O-6iCzaCrjLOg

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
13.05.2019
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 423 M€
Volumen 1M 412 M€
Volumen 3M 413 M€
Volumen 6M 303 M€
Volumen 12M 324 M€
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