Composizione Fidelity Emerging Markets Quality Income UCITS ETF INC - USD

ETF

FEMC

IE00BYSX4739

Mercato chiuso - Swiss Exchange 05:55:01 07/06/2024 Variaz. 5gg Var. 1 gen.
4,797 EUR +0,53% Grafico intraday di Fidelity Emerging Markets Quality Income UCITS ETF INC - USD -0,86% +6,60%

Composizione del Fidelity Emerging Markets Quality Income UCITS ETF INC - USD

Peso
156.800 KRW +0,64%-3,03%+154,13%4.03%
615,2 INR +0,78%-3,23%+65,30%3.20%
0,99 HKD +4,21%+7,61%+20,73%1.98%
38,2 HKD -1,55%+2,96%+88,64%1.65%
1.122 INR +1,02%+0,06%+12,55%1.62%
10,64 HKD -6,83%-5,17%-2,56%1.46%
121.100 KRW +1,34%+2,89%+21,10%1.40%
43.450 KRW +0,70%+7,15%-25,85%1.37%
87,25 HKD +0,17%+4,80%+15,18%1.33%
39.800 KRW -0,13%-6,46%-9,24%1.32%
5,66 HKD +1,25%+2,17%+21,72%1.30%
212,7 INR +2,31%+4,11%+31,22%1.26%
12,44 HKD -0,96%-0,32%-9,33%1.13%
2.504 INR +1,20%+6,29%-5,86%1.08%
83,3 HKD +1,71%+6,52%+3,61%1.07%
9.325 IDR -1,58%+0,81%-0,80%1.06%
830 INR +1,59%-0,05%+29,27%1.03%
354,4 PHP +0,17%+3,75%+43,60%1.02%
59,3 TRY -3,03%-10,69%+62,38%0.98%
3,79 HKD +0,80%+2,43%+27,18%0.96%
4,42 HKD +1,14%0,00%+15,71%0.95%
21,47 USD -0,42%-4,54%+5,25%0.95%
163,1 MXN -1,44%-5,83%-9,27%0.95%
12.811 INR +1,08%+3,32%+24,35%0.94%
216 TWD +0,47%+9,92%+62,41%0.94%
5,15 HKD +0,98%+0,98%-15,30%0.94%
863 PLN -0,80%0,00%+15,84%0.94%
159,5 TWD -0,31%+1,59%+18,15%0.90%
6.275 IDR +1,62%+6,36%+3,72%0.89%
31,8 TWD +0,32%+0,47%+15,22%0.89%
606 TWD 0,00%+2,19%+17,21%0.88%
55,1 TWD +1,66%+0,18%+4,75%0.88%
1.432 INR +2,43%+8,11%-2,36%0.87%
29,6 SAR +0,17%-0,84%-13,07%0.85%
23,5 TWD +0,64%+1,95%+19,29%0.84%
62,59 MXN -1,28%-1,88%-12,55%0.83%
11,93 QAR +0,42%+3,29%-8,79%0.83%
199 TWD -1,49%+6,70%+13,71%0.82%
530 TWD -1,12%-2,39%+12,41%0.82%
288,5 TWD +3,41%+1,23%+35,45%0.82%
4.350 IDR -3,33%+0,23%-24,02%0.81%
11,72 HKD +3,17%+6,35%+59,02%0.80%
270,8 INR +0,71%+2,23%+17,18%0.78%
359,5 TWD -0,14%+1,84%-3,36%0.78%
2.630 TWD +0,38%+6,48%+44,11%0.77%
109,2 SAR +1,30%+3,02%-20,98%0.76%
3,96 HKD -1,00%+2,33%-7,26%0.76%
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Descrizione

Codice ISIN IE00BYSX4739
Spese di gestione (TER) 0.50%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante Fidelity Emerging Markets Quality Income Net Total Return Index - USD

Caratteristiche

Giurisdizione
Metodo di replica
Modello di replica
Data di creazione
09/09/2019
Politica dei dividendi
Fattore
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 81 M€
AuM 1 mese 79 M€
AuM 3 mesi 72 M€
AuM 6 mesi 77 M€
AuM 12 mesi 94 M€
  1. Borsa valori
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  4. Composizione Fidelity Emerging Markets Quality Income UCITS ETF INC - USD