Einzelwerte Vanguard FTSE Pacific ETF - USD

ETF

A0F43Q

US9220428661

0LMQ

Markt geschlossen - London S.E. 16:08:00 29.05.2024 % 5 Tage % 1. Jan.
73.36 USD -1.61% Intraday Chart für Vanguard FTSE Pacific ETF - USD -1.28% +1.51%

Zusammensetzung des Vanguard FTSE Pacific ETF - USD

Gewichtung
73’500 KRW -.--%-3.16%-6.37%3,61%
3’334 JPY -1.97%-3.39%+28.66%2,75%
44.82 AUD +0.70%-0.73%-11.09%2,16%
121 AUD +1.24%+0.77%+8.25%1,62%
13’105 JPY +1.63%+4.42%-2.24%1,47%
60.85 HKD +0.66%-1.54%-10.65%1,26%
1’694 JPY +2.17%+6.54%+39.87%1,25%
280.6 AUD +0.19%+0.04%-2.06%1,18%
71’610 JPY +1.30%+0.04%+15.28%1,08%
5’976 JPY +2.07%+0.45%+1.00%1,00%
34’280 JPY +1.93%-3.79%+35.74%0,98%
34.38 AUD +1.40%+0.45%+12.00%0,83%
16’430 JPY +1.77%+3.40%+61.55%0,80%
10’455 JPY +1.60%+5.30%+51.89%0,78%
8’036 JPY +1.11%+1.93%+34.76%0,76%
189’200 KRW -3.32%-4.73%+33.71%0,74%
8’094 JPY +1.56%-0.61%+52.76%0,70%
26.57 AUD +2.27%-0.67%+16.03%0,69%
8’706 JPY +1.77%+5.08%+18.33%0,68%
7’513 JPY +1.39%+1.75%+30.28%0,68%
3’372 JPY +2.09%-0.24%+49.63%0,68%
28.64 AUD +1.38%+0.74%+10.49%0,67%
5’450 JPY -2.29%-3.16%+40.73%0,65%
1’756 JPY -0.79%+0.60%+19.75%0,63%
4’353 JPY +0.37%+0.18%-2.94%0,62%
5’625 JPY +3.61%+5.18%+59.42%0,58%
35.99 SGD 0.00%+0.39%+18.49%0,58%
192.2 AUD +0.68%-0.70%+4.69%0,57%
65.26 AUD +0.56%+0.99%+14.39%0,55%
4’200 JPY +0.65%+1.67%+3.60%0,55%
269.4 HKD +2.51%-3.51%+0.45%0,55%
3’278 JPY +1.99%+3.57%+35.83%0,54%
23’405 JPY +2.00%-0.55%+1.85%0,54%
9’093 JPY +0.56%+5.62%+44.49%0,54%
19’260 JPY +1.05%+5.68%+9.28%0,54%
27.88 AUD +0.65%+0.67%-10.19%0,50%
41’070 JPY +2.14%+0.59%+17.38%0,48%
3’056 JPY +3.02%+2.33%+2.10%0,45%
4’516 JPY +2.94%-1.55%-14.04%0,44%
155.2 JPY +0.58%-0.39%-9.92%0,44%
14.54 SGD +0.21%+0.69%+11.85%0,43%
1’926 JPY +2.01%+1.34%+9.43%0,43%
34.18 AUD +1.97%-0.78%+35.10%0,40%
24.72 AUD -0.10%-6.77%-14.83%0,39%
31.58 AUD -0.05%+0.41%-15.08%0,39%
2’558 JPY +0.57%+0.73%+20.22%0,39%
4’528 JPY +1.71%+1.73%+24.25%0,38%
2’042 JPY +0.69%+0.34%+9.52%0,38%
87405488efb13c.Ldv8Bp7QfOC9p8Zhf6BpOigrQYqZQV8Dr-sDYK0bFTg.eYq1f62aFrHwyIk2D-gZe194dcmhcABx_6VyDOJQe0hng5l09pcbhO7wsQ

ETF Ratings

Beschreibung

ISIN Code US9220428661
Verwaltungsgebühren 0.08%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE Developed Asia Pacific All Cap Net Tax (US RIC) Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
03.03.2005
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 6 457 M€
Volumen 1M 6 697 M€
Volumen 3M 6 256 M€
Volumen 6M 5 827 M€
Volumen 12M 5 564 M€
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