Composizione Nomura TOPIX Banks ETF - JPY

ETF

1615

JP3040170007

Mercato chiuso - Japan Exchange 08:00:00 14/06/2024 Variaz. 5gg Var. 1 gen.
344,1 JPY -0,41% Grafico intraday di Nomura TOPIX Banks ETF - JPY -2,02% +31,59%

Composizione del Nomura TOPIX Banks ETF - JPY

Peso
1.578 JPY -1,25%-4,36%+30,29%30.06%
9.990 JPY -0,10%-1,67%+45,20%22.82%
3.063 JPY -0,07%-1,57%+26,96%16.02%
3.521 JPY +0,28%-1,51%+30,12%4.94%
981,2 JPY -2,42%-3,52%+36,94%4.71%
1.478 JPY -0,71%-3,46%+2,92%1.70%
880,2 JPY -0,86%-2,18%+36,55%1.56%
1.356 JPY +0,04%-2,59%+33,14%1.35%
1.464 JPY -1,01%-4,75%+22,51%1.26%
4.127 JPY +0,02%-3,60%+24,05%1.12%
587,1 JPY -0,10%-0,44%+36,89%0.94%
2.593 JPY +3,14%+8,65%-15,34%0.85%
1.002 JPY -0,15%-1,33%+27,53%0.68%
260,2 JPY -0,27%-0,38%-13,18%0.55%
1.386 JPY -1,04%-0,93%+46,33%0.52%
1.718 JPY +0,41%-3,48%+35,97%0.51%
989 JPY +1,15%-0,56%+43,33%0.50%
1.186 JPY +0,55%-1,62%+31,38%0.48%
942,5 JPY +0,48%-3,84%+15,67%0.47%
1.600 JPY -0,47%+0,95%+59,76%0.42%
4.205 JPY +1,20%-3,78%+20,83%0.39%
1.923 JPY +0,42%-3,66%+17,90%0.38%
2.071 JPY +1,30%-0,62%+35,94%0.34%
1.848 JPY +0,43%+0,16%+17,04%0.31%
5.300 JPY +3,72%+4,54%+14,72%0.28%
1.348 JPY -1,17%-2,74%+35,61%0.26%
4.860 JPY +1,25%+2,32%+26,73%0.26%
4.285 JPY -1,27%-2,06%+22,78%0.26%
1.039 JPY -1,14%-2,72%+33,38%0.25%
531 JPY +0,76%-4,50%+49,58%0.24%
4.485 JPY -1,10%-1,75%+20,40%0.21%
3.345 JPY +0,30%-0,45%+37,03%0.20%
670 JPY -0,30%+1,06%+25,47%0.20%
4.565 JPY +2,01%-2,14%+14,84%0.19%
2.162 JPY +0,14%-0,92%+14,63%0.19%
392 JPY +0,26%-2,49%+21,36%0.17%
2.690 JPY +0,34%+1,59%+16,75%0.16%
403 JPY +0,50%-1,47%+3,07%0.16%
3.090 JPY -0,80%-3,29%+15,90%0.16%
2.635 JPY -5,28%-2,04%+11,75%0.16%
1.801 JPY +0,22%-0,99%-4,05%0.15%
863 JPY +0,58%-0,69%+26,73%0.14%
7.420 JPY +4,36%+4,65%+36,40%0.12%
1.188 JPY +0,25%-3,73%+7,41%0.12%
1.167 JPY +2,28%+0,78%+51,56%0.11%
2.478 JPY +0,41%-2,44%+5,63%0.11%
314 JPY -0,63%-1,88%+9,41%0.10%
3.265 JPY +1,87%-1,21%+35,70%0.09%
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Descrizione

Codice ISIN JP3040170007
Spese di gestione (TER) 0.22%
Categoria di attività
Valuta
Società di gestione
Sottostante TOPIX Banks Index - JPY

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
02/04/2002
Politica dei dividendi

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 1 045 M€
AuM 1 mese 952 M€
AuM 3 mesi 862 M€
AuM 6 mesi 952 M€
AuM 12 mesi 491 M€
  1. Borsa valori
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