Composizione Amundi Prime Emerging Markets - UCITS ETF DR (C) - USD

ETF

PRAM

LU2300295123

Mercato chiuso - London S.E. 17:35:19 13/05/2024 Variaz. 5gg Var. 1 gen.
18,45 USD +0,69% Grafico intraday di Amundi Prime Emerging Markets - UCITS ETF DR (C) - USD +0,92% +6,26%

Composizione del Amundi Prime Emerging Markets - UCITS ETF DR (C) - USD

Peso
9,87 MYR 0,00%+0,71%+11,02%0.13%
21,74 USD +0,74%-3,15%-16,74%0.13%
860,1 INR +0,74%-1,51%-2,31%0.12%
149.300 KRW -0,47%+2,26%+15,29%0.12%
56,4 TWD -1,05%-0,70%-15,19%0.12%
1.425 INR -0,48%-1,26%-0,52%0.12%
8,01 HKD +1,14%+16,76%-49,37%0.12%
94 ZAR +0,02%+0,31%-18,61%0.12%
1.175 TWD +0,86%+7,31%+16,34%0.12%
95.000 KRW -3,26%-6,22%-26,58%0.12%
14.590 KRW +0,41%+3,26%+12,23%0.12%
1.262 INR -0,19%+0,93%-0,83%0.12%
157 TWD +2,61%-8,72%-18,65%0.12%
199,4 CNY -2,04%-1,60%+22,11%0.11%
1.415 INR +5,61%-0,71%+13,51%0.11%
885 PHP +0,57%-6,05%+1,49%0.11%
303,2 SAR -2,26%-2,82%+6,76%0.11%
18,8 TWD 0,00%+2,45%+3,87%0.11%
50,35 BRL -16,85%-15,38%-9,53%0.11%
27,79 BRL +1,46%-2,11%+0,31%0.11%
11,76 HKD +1,73%+4,81%+16,21%0.11%
2.385 INR +0,34%-3,87%+11,73%0.11%
46,24 BRL -1,62%-5,44%-27,33%0.11%
26,2 TWD -0,19%+8,04%+17,23%0.11%
335.500 KRW +2,76%+11,46%+27,57%0.11%
186,5 TWD -1,84%+5,97%+5,97%0.11%
162,6 USD +0,93%+0,38%-9,57%0.11%
31,4 HKD -2,18%+3,97%+12,14%0.11%
23,05 TWD +0,44%+4,54%+17,01%0.11%
56,6 TWD 0,00%+0,89%-9,15%0.11%
8,37 HKD +1,82%+9,70%+7,31%0.11%
105 TWD 0,00%+5,32%-10,26%0.11%
2.301 INR -1,91%-11,13%+12,12%0.11%
454 TWD -1,63%+2,60%-13,19%0.11%
1.581 INR +0,50%-2,87%-6,24%0.11%
559,6 INR +2,02%-1,10%-13,46%0.11%
112 SAR +0,18%-2,61%-18,96%0.11%
5.919 INR +0,03%-6,79%+2,08%0.11%
97.600 KRW +0,10%+5,63%-4,13%0.11%
219 TWD +4,04%+0,69%+11,17%0.11%
10,34 HKD +0,58%+9,42%+11,42%0.11%
518,2 INR +0,84%-7,11%+25,51%0.10%
12,22 QAR +0,83%-0,89%-6,57%0.10%
870 SAR +0,09%-5,50%+6,75%0.10%
1.477 INR +0,96%-1,95%+19,44%0.10%
46,85 TWD -0,11%-0,32%+0,11%0.10%
4.473 INR +0,04%-1,11%+46,35%0.10%
5.075 IDR -0,98%-2,87%-10,18%0.10%
5.830 INR -0,21%-2,99%+2,21%0.10%
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Descrizione

Codice ISIN LU2300295123
Spese di gestione (TER) 0.10%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante Solactive GBS Emerging Markets Large & Mid Cap NTR Index - USD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
27/09/2021
Politica dei dividendi
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 30/04/2024 )

AuM (EUR) 27 M€
AuM 1 mese 27 M€
AuM 3 mesi 23 M€
AuM 6 mesi 20 M€
AuM 12 mesi 10 M€
  1. Borsa valori
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