Composizione FlexShares Developed Markets ex-US Quality Low Volatility Index Fund ETF - USD

ETF

QLVD

US33939L6478

Tempo differito Nyse 15:30:00 01/05/2024 Variaz. 5gg Var. 1 gen.
26,03 USD -0,04% Grafico intraday di FlexShares Developed Markets ex-US Quality Low Volatility Index Fund ETF - USD -0,46% +0,27%

Composizione del FlexShares Developed Markets ex-US Quality Low Volatility Index Fund ETF - USD

Peso
3.591 JPY +1,47%-11,44%+10,90%0.39%
4.565 JPY -0,89%+1,81%+9,39%0.39%
4,302 EUR -0,67%-0,09%-7,58%0.39%
2.274 JPY -1,22%+2,09%+11,86%0.38%
70,66 CAD +0,50%+0,13%+18,63%0.38%
0,915 SGD -1,08%-1,61%-8,50%0.38%
5,72 HKD -1,89%+4,38%+13,49%0.38%
708,1 JPY -3,12%-1,24%+26,36%0.38%
991,8 JPY -0,92%+0,13%+38,42%0.37%
4.219 JPY +0,33%-0,42%-14,27%0.37%
34,82 CAD -1,42%-2,08%+8,71%0.37%
4.113 JPY -0,51%-2,30%-8,38%0.36%
3.989 JPY -1,63%-6,12%-10,80%0.36%
3.550 JPY +0,71%+0,03%+6,00%0.36%
184,2 CHF -2,49%-3,05%+4,90%0.36%
4.264 JPY +0,45%+2,13%+16,98%0.35%
23,8 HKD -0,21%+5,08%-1,04%0.35%
201,2 EUR -0,79%-0,40%+12,28%0.35%
3.302 GBX -0,02%-2,05%+5,95%0.34%
2.876 JPY -2,54%-2,09%+14,88%0.34%
67,49 GBX -0,25%-2,99%-1,49%0.34%
6.990 JPY +0,72%+0,14%+14,40%0.33%
11 HKD -1,43%+5,97%-24,76%0.32%
2.924 JPY -7,13%-6,95%+0,58%0.31%
38,37 USD +0,47%+2,54%-6,89%0.31%
5.226 JPY -1,14%-2,21%+9,58%0.30%
51,6 CAD +0,06%-1,36%-16,83%0.27%
5.104 JPY -0,43%-1,41%+9,76%0.25%
81,75 EUR -0,37%+4,21%-17,94%0.25%
251,6 HKD -1,33%+14,36%-6,12%0.24%
37,03 EUR -1,31%-3,92%-16,29%0.24%
6,41 AUD -0,47%-0,62%+13,25%0.23%
3.702 JPY -1,23%+1,59%-5,92%0.21%
7,85 NZD -.--%-1,51%-10,80%0.20%
7.637 JPY -1,08%+1,85%+3,78%0.20%
3.250 JPY +8,55%+6,42%+10,53%0.20%
2.004 JPY -1,06%-0,47%+9,99%0.20%
16 EUR +1,81%+3,66%-3,41%0.19%
1.056 GBX +0,72%-0,57%-0,43%0.19%
5.890 JPY -0,05%-1,31%-11,61%0.18%
42,32 AUD -1,65%-6,99%-16,05%0.18%
70,7 EUR -0,28%+2,24%+9,36%0.17%
8,71 HKD +0,23%+4,19%-19,94%0.16%
6.940 JPY -0,56%+2,91%+18,84%0.16%
697,8 GBX +0,32%+4,32%+9,60%0.15%
971,5 GBX -0,22%-4,11%+0,89%0.14%
5.866 JPY +1,63%+9,54%+21,65%0.13%
7,524 EUR -0,34%+0,08%-0,40%0.12%
46,36 CAD -0,15%-0,56%-7,85%0.12%
1871.Y02InW7ITqYT_ogpOLwMwAEZq_hDsOe5_KWR3UaP-U4.Bg_iwkOAPJQiy-N2dMpojmhN7rM535COr9zmkgjoz3saHNj5L6E780y45w

Rating degli ETF

Descrizione

Codice ISIN US33939L6478
Spese di gestione (TER) 0.33%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante Northern Trust Developed Markets ex US Quality Low Volatility NTR Index - USD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
16/07/2019
Politica dei dividendi
Fattore
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 27/03/2024 )

AuM (EUR) 44 M€
AuM 1 mese 58 M€
AuM 3 mesi 57 M€
AuM 6 mesi 65 M€
AuM 12 mesi 72 M€
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