Einzelwerte WisdomTree MidCap Fund - USD

ETF

A0YCVR

US97717W5702

EZM

Markt geschlossen - Nyse 22:00:00 09.05.2024 % 5 Tage % 1. Jan.
59.62 USD +0.98% Intraday Chart für WisdomTree MidCap Fund - USD +4.32% +3.89%

Zusammensetzung des WisdomTree MidCap Fund - USD

Gewichtung
57.1 USD +1.12%-1.13%-13.48%0,31%
168 USD +1.74%+1.89%+16.53%0,31%
208.4 USD -0.78%-1.14%+7.10%0,31%
24.96 USD +0.20%+0.73%-13.27%0,30%
119.2 USD +1.93%+5.12%+9.92%0,30%
162.1 USD +1.38%+2.37%-2.29%0,30%
29.79 USD +1.36%+1.22%-1.68%0,30%
17.28 USD -0.63%+1.47%+2.31%0,30%
49.19 USD +1.36%+2.42%+1.70%0,29%
13.29 USD -0.60%+2.23%+11.49%0,29%
123.5 USD +0.77%+3.85%-10.35%0,29%
87.88 USD +2.53%+6.91%-12.58%0,29%
13.96 USD -0.07%+2.35%+1.38%0,29%
120 USD +1.28%+4.10%+10.54%0,29%
136.3 USD -1.66%-1.87%-7.40%0,28%
100.7 USD -0.01%+0.67%+8.60%0,28%
136.3 USD +2.30%+1.33%+5.34%0,28%
119 USD +0.19%+3.05%-5.21%0,28%
22.52 USD +3.30%+5.58%+24.15%0,27%
88.72 USD +1.98%+1.12%-7.57%0,27%
59.51 USD -0.18%+2.83%+47.27%0,27%
82.96 USD -0.22%+2.64%+19.97%0,27%
40.77 USD +0.92%+2.00%+9.98%0,27%
23.68 USD +0.51%+2.07%+18.40%0,27%
17.2 USD +1.84%+27.69%+15.44%0,27%
60.24 USD -1.42%+5.17%-38.66%0,27%
75.1 USD +2.50%+5.14%-1.37%0,27%
70.83 USD +2.13%+1.77%+3.48%0,27%
119.1 USD -0.49%-0.56%+43.70%0,26%
83.49 USD -0.23%+3.27%-4.28%0,26%
58.85 USD +1.10%+5.83%+5.33%0,26%
37.48 USD +1.30%+7.30%+2.63%0,26%
61.01 USD +2.66%+6.18%+6.18%0,26%
251 USD +1.64%+2.36%-3.34%0,26%
267.3 USD -0.03%+4.03%+31.77%0,25%
12.58 USD +3.62%-23.67%-31.96%0,25%
68.07 USD +1.63%+3.03%+9.19%0,25%
280.4 USD -0.23%-0.16%+31.25%0,25%
91.33 USD +1.68%+2.42%+13.95%0,25%
80.63 USD +0.41%+3.04%-4.52%0,25%
152.3 USD +3.01%+0.39%+16.76%0,25%
116.7 USD +1.91%+4.53%-16.39%0,25%
3’336 USD -2.06%+1.87%-6.56%0,25%
49.78 USD +1.67%-1.97%+18.69%0,25%
418.3 USD +2.63%+5.53%+17.31%0,25%
53.99 USD +3.67%+7.08%+5.93%0,25%
47.76 USD -0.42%+1.23%-1.71%0,24%
70.15 USD +0.04%+0.82%-20.21%0,24%
77.74 USD +2.07%+3.32%+16.62%0,24%
20.06 USD -0.84%+1.57%-24.81%0,24%
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Beschreibung

ISIN Code US97717W5702
Verwaltungsgebühren 0.38%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert WisdomTree U.S. MidCap Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
23.02.2007
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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