Composizione Amundi MSCI China ESG Leaders Extra UCITS ETF - Dist - EUR

ETF

LHKG

LU1900067940

Mercato chiuso - BOERSE MUENCHEN 21:49:42 10/05/2024 Variaz. 5gg Var. 1 gen.
19,79 EUR +2,19% Grafico intraday di Amundi MSCI China ESG Leaders Extra UCITS ETF - Dist - EUR +1,94% +10,67%

Composizione del Amundi MSCI China ESG Leaders Extra UCITS ETF - Dist - EUR

Peso
68,49 CNY -1,75%-0,31%-7,46%-.--%
4,58 HKD -0,22%+0,44%+30,48%-.--%
371 HKD +0,32%+2,94%+26,36%14.93%
5,64 HKD +6,82%+9,94%+21,29%6.72%
3,74 HKD +3,31%+7,47%+25,50%3.77%
4,53 HKD +4,14%+7,09%+18,59%3.75%
223,4 HKD -1,06%-0,71%+4,20%3.25%
37,84 USD -0,66%-1,48%-10,82%1.76%
56,75 HKD -1,90%-4,14%+7,18%1.67%
3,74 HKD +5,06%+10,00%+24,25%1.33%
46 HKD -0,33%-4,07%+1,88%1.19%
10,12 HKD -0,98%+11,33%-7,33%1.15%
32,1 HKD +7,18%+7,90%+14,64%1.13%
11,56 HKD +4,90%+6,84%+14,23%1.03%
20,85 USD -0,76%-2,93%-2,02%1.02%
16,96 HKD +0,59%+0,59%-19,24%0.90%
6,86 HKD +1,48%+2,24%-5,51%0.84%
9,89 HKD +0,20%+0,30%+15,13%0.81%
203,5 CNY -2,82%+0,44%+24,65%0.78%
5,07 USD -4,88%-8,98%-44,10%0.76%
76,65 HKD +5,87%+10,21%+33,30%0.75%
14,66 HKD +0,55%+0,69%-50,47%0.73%
6,01 HKD +4,70%+8,68%+23,41%0.67%
15,9 USD +0,38%-3,34%-10,47%0.67%
35,62 CNY +2,24%+3,82%+28,04%0.60%
15,4 HKD +4,62%+2,53%+11,92%0.59%
20,76 USD +1,91%+1,76%+24,98%0.48%
4,47 HKD +6,18%+9,56%+19,84%0.47%
3,11 HKD +1,30%+7,99%-10,37%0.46%
5,77 HKD -1,54%+1,76%+26,54%0.46%
42,15 HKD -1,75%+5,51%-40,51%0.46%
16,88 HKD +1,44%+4,58%+29,45%0.42%
21,5 HKD +3,61%+10,71%+5,13%0.40%
9,42 HKD +1,40%+1,07%-17,22%0.40%
20,9 HKD -0,48%+1,21%+44,74%0.36%
33,1 HKD +3,44%+22,14%-9,56%0.36%
10,64 HKD +2,31%-1,48%-8,43%0.35%
27,2 HKD +2,64%+10,12%+6,25%0.35%
8,03 HKD +1,39%+8,51%+88,06%0.34%
4,59 HKD +2,91%+2,68%-2,75%0.32%
9fe49fa7c97254.jULO61QoweXl_eAFirJdqtRzN1KBuuaS2gfUOXAQAGU.wySKjRsb9pC1i9Zj-tts8qcsejz34of4vyqHVSdxUyP7LaaoM3ukh6CQhw

Descrizione

Codice ISIN LU1900067940
Spese di gestione (TER) 0.65%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante MSCI China Select ESG Rating and Trend Leaders NTR Index - USD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
26/09/2006
Politica dei dividendi
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 30/04/2024 )

AuM (EUR) 0 M€
AuM 1 mese 0 M€
AuM 3 mesi 0 M€
AuM 6 mesi 0 M€
AuM 12 mesi 0 M€
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