Einzelwerte Xtrackers MSCI Eurozone Hedged Equity ETF - USD

ETF

A14Y9R

US2330516970

DBEZ

Verzögert Nyse 18:32:05 14.05.2024 % 5 Tage % 1. Jan.
47.07 USD +0.38% Intraday Chart für Xtrackers MSCI Eurozone Hedged Equity ETF - USD +2.04% +11.73%

Zusammensetzung des Xtrackers MSCI Eurozone Hedged Equity ETF - USD

Gewichtung
47.4 EUR -0.21%+2.46%+20.73%0,07%
9’820 EUR +0.51%+4.25%+19.32%0,07%
794.5 EUR +0.51%-3.81%+13.58%0,07%
95.25 EUR -1.80%-4.56%-5.32%0,07%
20.7 EUR +0.10%+1.62%+11.89%0,07%
100.1 EUR -0.20%+0.10%-9.08%0,07%
6.846 EUR +0.56%+0.35%-14.94%0,07%
37.4 EUR -0.37%+1.08%+1.82%0,07%
54.4 EUR +0.74%+2.26%-3.55%0,07%
209 EUR +0.58%+2.65%+16.63%0,07%
60.45 EUR -0.33%-0.25%+23.77%0,07%
33.98 EUR +1.34%+0.38%+8.42%0,07%
121.4 EUR +2.02%+5.38%+12.51%0,07%
14.63 EUR +2.45%+6.09%-21.03%0,07%
10.26 EUR +0.29%+0.10%-10.39%0,07%
22.44 EUR +0.09%-0.27%+18.79%0,07%
45.72 EUR +0.84%-0.57%+0.73%0,07%
124.6 EUR +0.81%+4.01%-7.43%0,07%
23.6 EUR +1.03%+4.15%+11.53%0,07%
34.32 EUR 0.00%0.00%+4.51%0,06%
71.8 EUR +0.56%+4.21%+16.56%0,06%
18.26 EUR +1.44%+16.71%+49.92%0,06%
96.15 EUR +1.05%-0.83%+8.52%0,06%
25.27 EUR +2.93%+6.36%-3.22%0,06%
221.2 EUR +1.56%+2.88%+11.83%0,06%
37.49 EUR +1.08%+3.82%-4.53%0,06%
35.22 EUR +0.11%-0.62%+16.55%0,06%
45.6 EUR -0.55%+2.38%+17.92%0,06%
170 EUR -0.06%+2.53%+7.05%0,06%
27.22 EUR +0.15%+1.34%-10.22%0,06%
54.55 EUR +3.02%+4.20%+33.77%0,06%
100.5 EUR +2.34%-2.90%+6.52%0,06%
38.76 EUR +1.31%+10.68%+40.74%0,06%
18.16 EUR -0.22%+0.22%+21.80%0,06%
82.3 EUR -0.48%-3.57%+14.54%0,06%
6.382 EUR +0.92%+12.32%-13.83%0,06%
227.8 EUR +1.15%+1.15%+1.06%0,06%
4.873 EUR +2.70%+4.57%+59.98%0,06%
14.34 EUR -0.28%+1.77%-6.06%0,05%
42.96 EUR +0.66%-2.54%+6.60%0,05%
43.42 EUR +0.79%+3.28%-7.36%0,05%
104.6 EUR +6.30%+8.28%-35.35%0,05%
25.8 EUR +1.42%+0.94%-9.66%0,05%
10.7 EUR +0.19%-0.83%+6.36%0,05%
8.85 EUR +0.63%+3.69%+71.45%0,05%
108.8 EUR +1.59%+4.72%+37.29%0,05%
135.7 EUR +7.78%+6.93%+13.56%0,05%
26.03 EUR +1.09%+2.12%+10.11%0,05%
49.24 EUR +0.80%+3.66%-27.01%0,05%
15.27 EUR +0.33%+2.00%+22.01%0,05%
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ETF Ratings

Beschreibung

ISIN Code US2330516970
Verwaltungsgebühren 0.45%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI EMU IMI US Dollar Hedged Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
09.12.2014
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 36 M€
Volumen 1M 36 M€
Volumen 3M 38 M€
Volumen 6M 34 M€
Volumen 12M 26 M€
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