Einzelwerte Xtrackers MSCI Canada ESG Screened UCITS ETF 1C - USD

ETF

DBX0ET

LU0476289540

XCAN

Verzögert Swiss Exchange 05:55:01 12.06.2024 % 5 Tage % 1. Jan.
76.05 USD -0.44% Intraday Chart für Xtrackers MSCI Canada ESG Screened UCITS ETF 1C - USD -0.23% +1.63%

Zusammensetzung des Xtrackers MSCI Canada ESG Screened UCITS ETF 1C - USD

Gewichtung
14.9 CAD -0.33%-3.37%+37.45%-.--%
211.7 CAD +2.71%+2.29%-1.38%-.--%
36.84 CAD -0.32%-1.07%+14.98%-.--%
50.86 CAD -0.16%-2.42%+11.27%-.--%
52.94 CAD +0.93%+1.69%+20.81%-.--%
16.97 CAD +0.77%-3.41%-8.86%-.--%
52.93 CAD +0.68%-3.29%-14.62%-.--%
37.94 CAD +1.69%+1.96%+8.37%-.--%
87.8 CAD +0.80%-0.56%-2.81%-.--%
120.2 CAD +1.06%+0.27%+3.49%-.--%
37.77 CAD +1.29%+4.31%+17.92%-.--%
29.86 CAD +0.17%+7.06%+11.41%-.--%
159 CAD +0.22%-1.63%+23.89%-.--%
22.17 CAD +0.18%-2.76%-5.98%-.--%
113 CAD +1.75%-0.76%+6.12%-.--%
194.2 CAD +0.43%-1.15%+18.06%-.--%
74.69 CAD +0.81%-1.36%+8.91%-.--%
110.3 CAD -5.22%-6.30%+9.21%-.--%
24.69 CAD +0.86%+1.23%+2.58%-.--%
76.08 CAD +0.89%-0.68%-11.12%-.--%
67.35 CAD +0.36%-0.56%-1.96%-.--%
28.73 USD +1.41%+2.60%-31.41%-.--%
145.5 CAD +0.40%-0.81%+8.58%-.--%
39.11 CAD +0.36%-0.03%-8.45%-.--%
209 CAD +1.16%-0.12%+12.47%-.--%
195.5 CAD +0.35%+5.75%+8.53%-.--%
17.68 CAD +1.32%-3.49%-5.35%-.--%
31.11 CAD +1.07%+0.03%+11.83%-.--%
47.01 CAD +0.30%-0.57%-9.95%-.--%
85.88 CAD +2.48%-0.86%-9.57%-.--%
57.96 CAD +2.42%-1.83%+9.05%-.--%
43.12 CAD -0.14%-1.24%+13.06%-.--%
53 CAD +3.27%-2.38%-0.41%-.--%
73.51 CAD +1.32%+3.39%+23.36%-.--%
138.9 CAD +0.18%+0.71%-2.06%-.--%
109.1 CAD +1.67%+2.36%-3.59%-.--%
73.16 CAD -0.23%-0.39%+11.95%-.--%
106.6 CAD +1.12%-0.13%+1.63%-.--%
140.2 CAD +1.46%+0.23%-0.32%-.--%
3’841 CAD +0.64%+0.44%+16.92%-.--%
128.7 CAD +1.35%+1.32%+15.56%-.--%
235.2 CAD +0.51%+0.07%+21.41%-.--%
53.81 CAD +0.96%-1.28%+3.94%-.--%
32.94 CAD -0.02%+0.86%-6.02%-.--%
49 CAD +0.45%-1.37%+2.73%-.--%
64.8 USD +1.54%+5.80%-16.82%5,00%
170.9 CAD +0.83%-0.92%+2.64%3,88%
116.8 CAD +1.64%-1.75%-10.94%3,49%
64.82 CAD +1.72%-0.25%+0.51%3,02%
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Beschreibung

ISIN Code LU0476289540
Verwaltungsgebühren 0.35%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Canada Select ESG Screened Index NR - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
26.03.2010
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 331 M€
Volumen 1M 323 M€
Volumen 3M 339 M€
Volumen 6M 300 M€
Volumen 12M 281 M€
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