Einzelwerte Xtrackers FTSE 250 ETF 1D

ETF

XMCX

LU0292097317

XMCX

Schlusskurs London S.E. 00:00:00 11.12.2023 % 5 Tage % 1. Jan.
17.86 GBP +0.53% Intraday Chart für Xtrackers FTSE 250 ETF 1D +2.40% +6.29%

Zusammensetzung des Xtrackers FTSE 250 ETF 1D

Gewichtung
121.4 GBX +0.33%+1.00%+22.26%0,41%
1’110 GBX -4.31%-5.77%+14.55%0,41%
204.6 GBX -0.87%+4.98%+8.08%0,41%
2’246 GBX +0.81%+1.45%+35.06%0,40%
6’260 GBX +1.46%-2.34%+36.98%0,39%
322.4 GBX +0.19%+3.27%+9.88%0,39%
115.6 GBX -1.20%-0.17%+12.89%0,39%
1’012 GBX -0.30%-1.65%-7.75%0,38%
2’460 GBX +1.44%+1.44%+7.19%0,38%
529.5 GBX +0.09%+4.23%-13.48%0,38%
4’015 GBX -1.23%-1.71%+12.21%0,38%
88.7 GBX +0.45%+2.78%+14.60%0,37%
360 GBX -1.50%+0.28%+18.62%0,37%
107.8 GBX -0.37%+0.75%+1.51%0,37%
482.8 GBX +0.08%-4.96%-39.19%0,37%
922 GBX -0.32%-0.43%+13.06%0,37%
1’510 GBX -0.53%+2.86%+9.58%0,36%
127 GBX +0.71%+1.11%+27.38%0,36%
185.5 GBX -1.01%-5.26%+7.79%0,36%
172 GBX +0.41%+1.24%-1.71%0,36%
400 GBX -1.36%-0.25%0.00%0,35%
3’460 GBX -0.72%-1.42%-2.67%0,35%
627 GBX +0.48%+1.13%+6.81%0,34%
762 GBX +0.66%+3.25%+28.17%0,34%
29 GBX +2.26%+1.05%+2.11%0,34%
1’794 GBX -1.43%-1.97%+11.29%0,34%
75.1 GBX -0.53%+2.04%-13.58%0,34%
98.45 GBX -0.86%+0.31%+4.40%0,34%
331 GBX -1.19%+0.61%-3.36%0,34%
732 GBX -0.41%-1.35%+6.86%0,33%
2’180 GBX -1.58%+0.46%+13.42%0,33%
394.8 GBX +1.22%+1.56%+7.73%0,33%
1’062 GBX -1.67%+3.11%-5.09%0,32%
274 GBX +0.18%+0.37%-0.36%0,32%
1’754 GBX -2.66%-2.12%+0.69%0,32%
889 GBX -0.34%+0.34%+10.99%0,32%
498 GBX +0.71%-0.40%+3.49%0,32%
4’765 GBX -0.42%0.00%+1.82%0,31%
200.2 GBX +0.25%+0.50%-10.14%0,31%
135.2 GBX -1.74%-1.60%-4.52%0,31%
244.5 GBX -1.01%-0.20%+11.14%0,31%
604 GBX -0.17%+0.67%+8.44%0,31%
394 GBX +0.13%+2.20%+12.41%0,31%
455.5 GBX +0.33%-1.19%+12.89%0,29%
519 GBX -0.57%+1.17%-2.99%0,29%
2’420 GBX +0.21%0.00%+9.26%0,29%
885 GBX -0.23%-1.45%+2.31%0,29%
1’024 GBX -0.58%+23.37%+28.72%0,29%
361.5 GBX +0.98%+0.70%+15.50%0,28%
428 GBX -0.23%+5.16%+1.90%0,28%
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ETF Ratings

Beschreibung

ISIN Code LU0292097317
Verwaltungsgebühren 0.15%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE 250 Net Total Return Index - GBP

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
14.06.2007
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 36 M€
Volumen 1M 35 M€
Volumen 3M 37 M€
Volumen 6M 32 M€
Volumen 12M 36 M€
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