Composizione Nomura NEXT FUNDS Nomura Enterprise Value Allocation Index ETF - JPY

ETF

1480

JP3048230001

Mercato chiuso - Japan Exchange 07:32:41 12/06/2024 Variaz. 5gg Var. 1 gen.
27.775 JPY -1,09% Grafico intraday di Nomura NEXT FUNDS Nomura Enterprise Value Allocation Index ETF - JPY +0,29% +17,49%

Composizione del Nomura NEXT FUNDS Nomura Enterprise Value Allocation Index ETF - JPY

Peso
146,5 JPY -0,88%-2,33%-14,97%3.02%
68.200 JPY -0,89%-2,07%+9,79%2.82%
3.116 JPY -0,38%-3,20%+20,29%2.77%
4.222 JPY -1,61%-0,96%-5,88%2.18%
8.481 JPY +1,41%-3,13%+15,25%2.16%
5.422 JPY -3,09%-6,98%+40,03%2.13%
17.185 JPY +1,60%+5,11%+68,98%1.94%
7.894 JPY 0,00%+1,87%+32,38%1.85%
34.950 JPY +0,11%+1,42%+38,39%1.85%
23.300 JPY +0,63%+3,69%+1,37%1.72%
9.990 JPY -0,10%-1,91%+45,20%1.70%
18.705 JPY -0,32%-1,71%+6,13%1.68%
6.145 JPY -1,11%+0,56%+3,85%1.67%
3.190 JPY +1,56%-1,76%+41,56%1.63%
5.444 JPY -0,51%+0,04%+54,26%1.54%
7.594 JPY +2,35%-1,18%+43,34%1.53%
4.142 JPY +0,10%-2,13%+2,17%1.50%
7.538 JPY +2,17%+2,53%+30,71%1.42%
2.005 JPY -1,06%-2,39%+7,51%1.32%
4.381 JPY -1,06%+1,20%+5,64%1.30%
1.965 JPY +0,31%+0,98%+11,68%1.26%
3.232 JPY +0,97%+6,04%+7,99%1.21%
78.790 JPY -0,69%+2,15%+4,00%1.20%
1.502 JPY -0,30%-5,53%-10,91%1.12%
4.447 JPY +0,54%-2,95%+22,85%1.00%
2.406 JPY -1,05%-2,73%+13,14%0.97%
2.692 JPY +0,73%+1,85%+31,95%0.95%
2.420 JPY -0,92%-0,47%+13,77%0.88%
6.756 JPY +0,96%-3,87%+16,48%0.88%
6.599 JPY 0,00%-0,08%+13,00%0.86%
3.395 JPY +0,59%-1,31%+27,82%0.83%
4.524 JPY +0,62%-0,81%+24,12%0.82%
2.626 JPY +0,31%-2,83%+13,61%0.79%
2.554 JPY +1,75%-3,82%+27,74%0.77%
1.476 JPY +0,99%-1,93%+28,09%0.76%
1.806 JPY -0,17%-0,30%-12,24%0.74%
4.509 JPY +0,40%-0,29%+22,26%0.74%
3.724 JPY +1,25%+1,22%+31,85%0.73%
4.953 JPY -0,84%+4,12%-7,28%0.70%
2.590 JPY +3,33%-1,73%+33,30%0.67%
4.015 JPY +1,41%-0,12%+30,53%0.64%
3.041 JPY +2,91%+2,68%+36,46%0.64%
6.256 JPY -2,40%-7,57%-11,29%0.63%
2.212 JPY -0,27%+0,45%+4,24%0.63%
6.317 JPY -0,79%-1,50%+19,44%0.59%
3.011 JPY +0,62%-0,50%+6,53%0.59%
6.085 JPY -0,15%-3,43%-10,49%0.59%
40.400 JPY -0,86%-1,66%+15,46%0.57%
5.568 JPY -0,82%-4,40%+5,90%0.56%
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Descrizione

Codice ISIN JP3048230001
Spese di gestione (TER) 0.23%
Categoria di attività
Valuta
Società di gestione
Sottostante Nomura Enterprise Value Allocation Index - JPY

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
19/05/2016
Politica dei dividendi

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 69 M€
AuM 1 mese 71 M€
AuM 3 mesi 72 M€
AuM 6 mesi 64 M€
AuM 12 mesi 61 M€
  1. Borsa valori
  2. ETF
  3. ETF 1480
  4. Composizione Nomura NEXT FUNDS Nomura Enterprise Value Allocation Index ETF - JPY