Einzelwerte Xtrackers FTSE 100 ETF 1C

ETF

XDUK

LU0838780707

XDUK

Schlusskurs London S.E. 00:00:00 11.12.2023 % 5 Tage % 1. Jan.
11.1 GBP +0.14% Intraday Chart für Xtrackers FTSE 100 ETF 1C +0.61% +8.85%

Zusammensetzung des Xtrackers FTSE 100 ETF 1C

Gewichtung
2’901 GBX -0.21%+2.09%+12.81%8,70%
12’026 GBX +5.94%+10.19%+13.45%8,07%
661.9 GBX -0.26%+2.68%+4.15%6,36%
4’082 GBX +5.67%+8.28%+7.42%4,94%
526.3 GBX +0.13%+2.71%+12.90%4,01%
5’379 GBX -1.30%+0.15%-7.93%3,30%
2’759 GBX -1.88%-2.27%-3.40%3,25%
1’640 GBX +0.28%+3.60%+13.12%3,04%
3’281 GBX -0.73%-1.44%+5.50%3,03%
468.6 GBX -1.16%-1.35%-0.74%2,99%
2’337 GBX -0.38%+1.92%+1.81%2,62%
8’890 GBX +0.93%-1.62%-4.14%2,17%
4’356 GBX -0.41%+5.24%-19.63%2,01%
1’047 GBX -0.81%+1.65%-1.04%2,01%
2’232 GBX -0.27%+2.90%+4.01%1,89%
1’320 GBX -3.19%+2.56%+18.87%1,73%
51.2 GBX -1.12%+0.39%+7.32%1,57%
3’225 GBX -1.13%+0.59%+0.72%1,52%
405.7 GBX -2.71%+0.80%+35.37%1,29%
14’875 GBX +0.07%+0.75%+6.71%1,26%
714 GBX -2.88%-1.22%-19.52%1,25%
2’560 GBX +16.10%+17.32%+29.91%1,24%
5’760 GBX +0.45%+3.08%+5.46%1,23%
2’843 GBX -0.25%-0.11%+17.43%1,20%
204 GBX +6.73%+10.88%+32.66%1,19%
289.8 GBX -0.55%+2.51%-0.24%1,05%
1’650 GBX -0.27%+0.18%-11.07%1,05%
331.5 GBX +0.58%+3.21%+3.06%0,92%
1’828 GBX +1.27%+4.52%+1.16%0,83%
69 GBX -0.49%+3.95%+0.64%0,77%
232.8 GBX -0.50%-4.98%-7.29%0,77%
682.8 GBX +0.53%+3.20%+2.43%0,74%
1’160 GBX -0.81%+1.35%-1.02%0,63%
289.8 GBX +1.36%+5.23%+32.09%0,62%
458.5 GBX -1.48%+0.28%+5.48%0,61%
8’002 GBX -1.45%+2.09%+12.86%0,60%
822.6 GBX -1.30%-0.19%+1.81%0,59%
410.5 GBX -1.86%-0.58%-6.87%0,58%
843.4 GBX -0.66%+0.36%-4.85%0,57%
3’034 GBX -1.75%+2.02%-4.89%0,56%
794.4 GBX -1.37%+0.91%+1.69%0,56%
9’104 GBX -1.04%+2.94%+12.15%0,51%
964.4 GBX -1.93%-0.25%-10.58%0,49%
2’178 GBX -1.71%-1.00%-4.64%0,45%
2’692 GBX -2.60%-0.66%+0.30%0,43%
39.83 EUR -0.50%-2.38%+11.01%0,42%
2’686 GBX -0.59%+9.99%+13.48%0,41%
796.4 GBX -0.92%+3.24%+5.76%0,40%
8’850 GBX -2.06%-3.59%-15.75%0,40%
104.7 GBX -0.52%0.00%-15.29%0,40%
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ETF Ratings

Beschreibung

ISIN Code LU0838780707
Verwaltungsgebühren 0.09%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE 100 Net of Tax Index - GBP

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
28.11.2012
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 27.03.2024 )

Volumen (EUR) 55 M€
Volumen 1M 53 M€
Volumen 3M 59 M€
Volumen 6M 61 M€
Volumen 12M 63 M€
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