Einzelwerte WisdomTree Emerging Markets Efficient Core Fund - USD

ETF

A3DW9P

US97717Y6427

NTSE

Markt geschlossen - Nyse 22:00:00 26.04.2024 % 5 Tage % 1. Jan.
27.95 USD +1.18% Intraday Chart für WisdomTree Emerging Markets Efficient Core Fund - USD +4.23% -1.30%

Zusammensetzung des WisdomTree Emerging Markets Efficient Core Fund - USD

Gewichtung
782 TWD +2.09%+4.27%+31.87%9,44%
76’700 KRW +0.52%-1.16%-2.29%6,53%
348.4 HKD +2.65%+14.68%+18.66%4,27%
2’905 INR -0.51%-1.20%+12.39%1,82%
3’625 ZAR +1.38%+11.27%+15.88%1,66%
41.65 BRL +3.04%+2.76%+11.84%1,57%
62.74 BRL -0.93%-0.98%-18.73%1,40%
1’430 INR -0.57%+1.35%-7.30%1,31%
1’108 INR -0.53%+3.81%+11.17%1,28%
177’800 KRW +4.22%+2.60%+25.65%1,19%
129.3 USD +2.80%+13.94%-11.62%1,16%
4.97 HKD -0.40%+2.05%+6.88%1,16%
3’821 INR -0.80%-0.13%+0.74%0,88%
115.6 HKD +3.68%+21.30%+41.15%0,86%
32.21 BRL +1.67%+2.09%-5.18%0,83%
155 TWD +2.31%+8.39%+48.33%0,83%
95.99 USD +1.99%+2.65%+3.04%0,74%
16.18 MXN +2.80%+3.65%+2.80%0,73%
9’625 IDR -1.53%+1.58%+2.39%0,69%
17.36 HKD +4.58%+9.87%+11.28%0,68%
4.15 HKD -0.48%+0.97%+8.64%0,67%
173.2 MXN -1.08%-0.09%+1.43%0,66%
100.5 USD +0.62%+5.75%-15.59%0,65%
1’326 INR -0.78%+2.84%+28.33%0,65%
205.1 MXN +3.46%-0.21%-7.21%0,64%
3.46 HKD -0.86%+2.98%+16.11%0,62%
1’130 INR +0.24%+9.77%+2.46%0,62%
13.88 BRL +1.61%+1.76%-18.78%0,59%
257.5 TWD +0.78%+6.63%+14.70%0,58%
3’602 INR -1.32%+2.36%+2.13%0,57%
2’222 INR -0.43%-0.48%-16.59%0,53%
249’500 KRW -0.20%+6.17%+22.60%0,53%
30.34 USD +6.12%+18.93%+5.02%0,52%
66.46 MXN -1.63%+3.26%-7.14%0,52%
4’830 IDR -6.21%-8.44%-15.63%0,51%
394’500 KRW +0.51%+2.07%-21.02%0,51%
6’731 INR -7.73%-5.45%-8.14%0,50%
11.22 BRL +3.60%+0.36%-22.89%0,44%
176’600 KRW -0.45%+2.14%-12.36%0,43%
1’474 INR -2.01%+1.82%+0.53%0,43%
49.8 TWD +0.61%+1.43%-5.32%0,42%
181’500 KRW -0.66%-0.49%-18.97%0,41%
76.5 TWD +0.53%+0.66%+2.68%0,39%
118’200 KRW +1.37%+7.07%+18.20%0,39%
50.6 USD +0.36%+5.42%+40.52%0,39%
408’500 KRW -1.21%+1.87%-13.45%0,39%
999.4 INR -0.14%+3.75%+28.00%0,38%
280eed2c7e3e47ba2c89ad4548.OTSoeuQsQDfGUYaH5A-8dp66UpCjwW5GJdeonwJ6-Yg.QFHZPrdiCkCIKb7qskjtAvDUAdbk8SgHY4Hjz1AzzPANeM0ur28uWqsG9Q

Beschreibung

ISIN Code US97717Y6427
Verwaltungsgebühren 0.32%
Anlageklassen
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Erstellungsdatum
20.05.2021
Dividenden-Politik
Kredit-Rating

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 51 M€
Volumen 1M 49 M€
Volumen 3M 49 M€
Volumen 6M 46 M€
Volumen 12M 46 M€
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