Composizione Amundi Japan TOPIX II UCITS ETF - Dist - EUR

ETF

JPNC

FR0010245514

Mercato chiuso - Swiss Exchange 17:40:57 31/05/2024 Variaz. 5gg Var. 1 gen.
154,6 CHF +0,57% Grafico intraday di Amundi Japan TOPIX II UCITS ETF - Dist - EUR -0,19% +13,97%

Composizione del Amundi Japan TOPIX II UCITS ETF - Dist - EUR

Peso
3.401 JPY +2,13%+0,24%+31,29%5.34%
1.658 JPY +1,75%+5,54%+36,86%2.41%
12.895 JPY +1,94%+1,94%-3,84%2.39%
33.630 JPY -2,52%-6,04%+33,16%2.09%
3.303 JPY +0,40%-0,75%+46,57%1.83%
70.690 JPY +1,13%-1,50%+13,80%1.81%
16.145 JPY +2,83%+3,63%+58,75%1.68%
10.290 JPY +2,44%+5,12%+49,56%1.60%
5.855 JPY +2,11%-1,00%-1,05%1.55%
7.970 JPY +0,98%-2,50%+50,43%1.43%
154,3 JPY +1,38%+1,11%-10,45%1.38%
8.555 JPY +2,36%+3,67%+16,25%1.34%
7.948 JPY +3,34%+1,40%+33,29%1.28%
7.410 JPY +3,51%+2,48%+28,49%1.18%
1.770 JPY +2,25%+2,05%+20,70%1.18%
5.429 JPY +1,86%+5,21%+53,84%1.17%
9.042 JPY +3,24%+6,19%+43,68%1.15%
5.578 JPY +3,32%+2,46%+44,06%1.08%
3.214 JPY +2,23%+2,19%+33,22%1.03%
4.173 JPY +1,88%+0,94%+2,94%0.99%
19.060 JPY +2,09%+3,08%+8,14%0.98%
4.337 JPY +0,84%+0,81%-3,32%0.90%
1.888 JPY +0,88%-0,53%+7,27%0.83%
2.730 JPY +4,60%-3,58%+36,57%0.72%
4.387 JPY +1,15%-3,94%-16,45%0.69%
61.490 JPY +0,31%-0,02%+75,79%0.66%
2.966 JPY +1,70%-1,00%-0,89%0.66%
78.810 JPY +1,30%-3,77%+4,03%0.66%
22.945 JPY +1,35%-4,16%-0,17%0.63%
2.543 JPY +0,89%+0,20%+19,56%0.61%
2.268 JPY +0,76%-2,81%+6,63%0.60%
4.452 JPY +0,88%-0,09%+22,14%0.60%
1.368 JPY +2,93%+3,60%+66,00%0.60%
4.081 JPY +2,02%+0,27%+32,67%0.60%
2.028 JPY -0,12%+0,15%+8,74%0.60%
3.060 JPY +0,69%+0,10%+37,31%0.59%
4.552 JPY +1,22%+2,45%+25,75%0.57%
40.210 JPY +1,59%-0,25%+14,92%0.56%
1.440 JPY +3,89%+2,71%+24,97%0.56%
4.399 JPY -0,97%-4,18%+6,08%0.53%
4.597 JPY +2,27%+0,04%+24,65%0.53%
6.840 JPY +0,77%-0,19%+17,12%0.50%
3.419 JPY +2,21%+2,70%+28,73%0.49%
40.490 JPY -0,71%-6,77%+8,93%0.49%
3.579 JPY +0,87%+3,20%+26,72%0.48%
1.515 JPY +2,57%+3,98%+20,29%0.48%
1.553 JPY +1,54%+2,14%+8,15%0.47%
5.313 JPY -0,11%-4,97%+10,76%0.47%
4.207 JPY +1,62%+8,43%+40,61%0.47%
4.781 JPY +1,90%+0,70%-10,50%0.46%
35844f4cc5d307ac.Twl_Jj9ghnJvR2JHqoJckhyF7Vc6TC2tF3wtSMu9DlY.OEEPfnwt4jodHSd_0rop4na1tCdlekLXUixdeorvaid3aA5PfAW3ACwJIw

Descrizione

Codice ISIN FR0010245514
Spese di gestione (TER) 0.45%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante TOPIX Gross Total Return Index - JPY

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
09/11/2005
Politica dei dividendi
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 30/04/2024 )

AuM (EUR) 520 M€
AuM 1 mese 531 M€
AuM 3 mesi 598 M€
AuM 6 mesi 573 M€
AuM 12 mesi 596 M€
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