Composizione Day Hagan/Ned Davis Research Smart Sector International ETF - USD

ETF

SSXU

US86280R8299

Mercato chiuso - Nyse 22:10:00 17/01/2025 Variaz. 5gg Var. 1 gen.
27,83 USD +0,45% Grafico intraday di Day Hagan/Ned Davis Research Smart Sector International ETF - USD +2,34% +0,32%

Composizione: Day Hagan/Ned Davis Research Smart Sector International ETF - USD

74,46CHF+0,35%+0,30%-0,56%2.44%
266,90CHF+0,57%+0,76%+4,46%1.77%
683,10EUR-1,01%+5,68%+7,49%1.52%
89,23CHF-0,10%-1,72%+0,60%1.50%
98,12USD+0,72%+3,56%+7,67%1.36%
182,14USD-2,47%+1,17%-0,64%1.23%
57,17EUR-0,52%+2,24%+7,12%1.16%
387,00HKD-0,72%+3,31%-7,10%1.09%
10.794,00GBX-1,32%-0,26%+3,11%0.89%
2.722,50GBX+0,07%+2,23%+9,96%0.89%
14,42MXN+1,05%+0,07%-3,55%0.89%
98,85EUR+0,67%+4,09%+5,45%0.82%
173,79CAD-0,28%+1,74%+0,27%0.78%
82,36CAD-0,93%+5,35%+7,62%0.70%
120,20CLP+1,19%+5,53%+6,32%0.68%
146,07MXN+1,51%+3,00%+9,03%0.64%
340,80EUR-0,77%+3,78%-0,31%0.64%
55,25MXN+3,12%-4,56%+0,66%0.63%
1.305,45INR+0,24%+5,29%+7,40%0.62%
260,55EUR+0,62%+5,06%+8,16%0.57%
4.601,00GBX+0,31%+1,54%+1,17%0.57%
825,30GBX+0,32%+3,38%+5,09%0.56%
162,02EUR+0,32%+3,54%+3,25%0.55%
530,40CHF-1,67%+0,99%-1,56%0.55%
2.874,50JPY+0,16%-1,13%-8,63%0.53%
163,42EUR+1,64%+5,13%+5,58%0.52%
164,05CHF+0,18%+18,49%+18,96%0.52%
40,34AUD+0,26%+0,47%+2,02%0.51%
171,32MXN+0,25%-0,87%-3,59%0.50%
62,95EUR+1,14%+5,55%+6,30%0.47%
63,93CAD-0,70%+2,34%+4,79%0.47%
429,70GBX-1,06%-0,35%+9,34%0.46%
31,75CHF+1,99%+8,36%+14,50%0.45%
2.438,00GBX+0,14%+1,94%-3,92%0.44%
148,25CAD+0,90%+2,72%+1,56%0.43%
89,25CLP+0,62%+0,63%+2,29%0.43%
157,40HKD+1,22%+9,15%+3,82%0.41%
103,00EUR+0,39%+4,29%+3,27%0.40%
2.959,00GBX-0,10%+0,89%+2,74%0.39%
245,10EUR+0,41%+5,01%+4,03%0.39%
1.813,30INR-0,12%-7,59%-3,55%0.39%
6,791EUR0,00%-1,37%-1,38%0.39%
50,98CHF+0,55%+4,83%+3,89%0.39%
35,34EUR-0,06%+5,56%+2,97%0.39%
156,54AUD+0,95%+3,02%+2,15%0.39%
387,20GBX+1,85%+6,39%+9,56%0.38%
256,00EUR-0,33%+4,96%+8,34%0.37%

Descrizione

Codice ISIN US86280R8299
Spese di gestione (TER) 0.79%
Categoria di attività Azioni
Settore
Dimensione
Valuta
Società di gestione

Caratteristiche

Politica dei dividendi Distribution
Giurisdizione
Struttura del fondo
Data di creazione
01/07/2022
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/12/2024 )

AuM (EUR) 33 M€
AuM 1 mese 34 M€
AuM 3 mesi 34 M€
AuM 6 mesi 36 M€
AuM 12 mesi 34 M€
  1. Borsa valori
  2. ETF
  3. ETF SSXU
  4. Composizione Day Hagan/Ned Davis Research Smart Sector International ETF - USD