Einzelwerte Vanguard FTSE Developed Europe ex UK UCITS ETF Accumulating - EUR

ETF

A2PLBL

IE00BK5BQY34

Verzögert OTC Markets 21:03:05 23.05.2024 % 5 Tage % 1. Jan.
50.24 USD +5.44% Intraday Chart für Vanguard FTSE Developed Europe ex UK UCITS ETF Accumulating - EUR -.--% +9.18%

Zusammensetzung des Vanguard FTSE Developed Europe ex UK UCITS ETF Accumulating - EUR

Gewichtung
982 DKK -0.65%+4.89%+40.67%3,88%
94.6 CHF -1.05%-3.07%-2.98%3,71%
959.2 EUR -0.44%+9.89%+40.71%3,56%
94.08 CHF -0.23%+1.46%+10.85%2,50%
241.6 CHF +0.79%+3.16%-1.19%2,41%
736.6 EUR -1.30%+0.22%+0.41%2,40%
175.4 EUR -0.80%+4.03%+25.75%2,03%
64.1 EUR -1.70%-0.36%+4.06%1,79%
172.5 EUR -1.14%-1.04%+1.49%1,68%
451.4 EUR -0.25%-0.15%+0.17%1,38%
89.89 EUR -0.42%-0.42%+0.14%1,29%
225.8 EUR -0.96%+0.65%+24.24%1,28%
256.1 EUR -1.27%-2.25%+5.85%1,27%
165.9 EUR -1.32%+0.13%+3.62%1,20%
27.77 CHF -0.93%-0.18%+6.40%1,12%
148.5 EUR -0.64%-2.69%+6.24%1,08%
22.61 EUR 0.00%+1.62%+3.95%0,98%
12.08 EUR -0.74%-1.91%+1.73%0,94%
470.4 CHF -1.26%+0.02%+7.01%0,90%
2’130 EUR -0.42%-1.53%+11.01%0,87%
60.75 EUR -3.89%-9.10%-2.94%0,86%
147 CHF -1.01%+2.30%+27.04%0,85%
4.606 EUR -2.22%-2.83%+21.88%0,80%
50.08 CHF -0.56%+1.93%+34.26%0,79%
100.8 EUR -3.86%-11.23%-11.39%0,75%
206 EUR -0.87%+0.34%+13.44%0,73%
207.2 EUR -0.53%-1.94%+29.94%0,72%
65.41 EUR -0.17%-0.18%+4.57%0,71%
31.8 EUR -1.64%-2.93%+7.83%0,69%
6.568 EUR -1.66%-2.49%-2.41%0,69%
459.7 EUR -0.17%+1.97%+22.55%0,68%
56.76 EUR -0.87%-0.60%-2.84%0,67%
37.65 EUR -0.17%+2.56%-0.40%0,65%
9.588 EUR -1.76%+1.40%+16.56%0,65%
15.95 EUR -1.70%-0.87%+17.94%0,65%
20.08 EUR -0.89%+0.75%-5.08%0,60%
46.44 EUR +0.63%-1.93%-4.80%0,57%
268.8 CHF -0.52%-0.15%-1.79%0,57%
34.9 EUR -3.75%-1.12%+42.05%0,56%
38.68 EUR -1.35%+0.29%-13.77%0,56%
45.47 EUR -0.53%+3.51%+15.32%0,55%
3.476 EUR -2.56%-2.00%+31.51%0,54%
33.82 EUR -0.70%-0.09%+25.33%0,54%
202.3 SEK -0.69%+1.10%+16.57%0,53%
127.8 SEK +0.67%+0.71%+2.47%0,51%
80.14 CHF -0.40%+2.56%+21.39%0,49%
59.54 EUR +0.34%-0.17%+1.47%0,48%
411.7 USD -0.44%+0.34%+21.78%0,48%
81 CHF -0.95%+1.43%+23.40%0,46%
271.1 SEK -0.48%-2.69%+3.59%0,46%
cb.4Qb3dJ5XPYhUv-xEOjqA9jHRw2zwPAWDJt4C9YJQT2M.hmyTPrMUXP410rQqYlnitXK9rTuHfm_hE403rc0beC27Vboh3QFf3DzL3A

ETF Ratings

Beschreibung

ISIN Code IE00BK5BQY34
Verwaltungsgebühren 0.10%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE Developed Europe ex UK Net Total Return Index - EUR

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
23.07.2019
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 512 M€
Volumen 1M 480 M€
Volumen 3M 420 M€
Volumen 6M 371 M€
Volumen 12M 283 M€
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