Composizione Franklin Emerging Markets UCITS ETF - USD

ETF

FLXE

IE00BF2B0K52

Tempo reale BOERSE MUENCHEN 20:47:14 27/06/2024 Variaz. 5gg Var. 1 gen.
25,48 EUR -0,18% Grafico intraday di Franklin Emerging Markets UCITS ETF - USD -0,82% +9,64%

Composizione del Franklin Emerging Markets UCITS ETF - USD

Peso
60.400 KRW 0,00%+2,37%+39,17%1.28%
271,7 ZAR +0,44%+3,70%-2,20%1.28%
78.500 KRW -0,51%-0,51%+45,10%1.27%
131.500 KRW +0,54%-0,60%+31,50%1.26%
606 TWD -1,14%-3,66%+17,21%1.15%
8,1 AED +1,63%+3,71%+2,27%1.09%
3.934 INR +2,03%+3,48%+3,71%1.04%
1.395 TWD -0,71%-6,06%+37,44%1.03%
67,63 PLN +0,54%+2,86%+3,25%0.99%
2.533 INR -0,06%+0,29%-4,78%0.98%
126 TWD +0,40%-1,18%+5,00%0.97%
4,57 HKD -1,08%+0,44%+19,63%0.96%
1.573 INR +2,12%+4,10%+1,97%0.95%
3,32 HKD -1,78%-1,78%+10,30%0.95%
62,04 MXN -0,72%-0,56%-13,32%0.93%
26,58 BRL -0,54%+0,72%-4,03%0.91%
1.490 CNY +0,09%-0,70%-13,64%0.90%
56,4 TWD -0,35%-0,70%+7,22%0.90%
9,72 HKD -1,72%-3,19%+4,74%0.79%
3.030 IDR +1,00%+7,07%-23,29%0.77%
11,12 HKD -2,28%-0,89%+9,88%0.76%
112,8 SAR +1,08%+2,55%-18,38%0.75%
168,7 TRY +2,00%-1,98%+17,97%0.68%
194,5 TWD -2,75%-2,99%+35,54%0.64%
43,21 BRL +0,44%+5,47%-6,21%0.63%
530 TWD 0,00%-5,02%+12,41%0.61%
85.900 KRW -0,69%-0,58%-1,15%0.61%
288,6 SAR -0,69%+0,21%+1,62%0.57%
14.450 KRW -0,14%+2,19%+11,15%0.57%
108 TWD +1,41%+1,89%-7,69%0.56%
559,5 TRY 0,00%-1,76%+86,03%0.56%
32,81 BRL -0,39%+0,28%-2,53%0.55%
106,5 TWD -0,47%-4,05%+8,01%0.53%
4.430 IDR +0,23%-0,45%-21,59%0.53%
2.842 INR +1,25%-1,82%+12,36%0.53%
2.555 TWD -1,35%-13,83%+40,00%0.52%
12,8 QAR 0,00%+4,66%-2,14%0.52%
13,36 HKD -3,61%-4,71%+70,19%0.49%
938 CZK -0,27%-0,21%-2,14%0.48%
224,5 TRY +3,46%+0,22%+58,32%0.47%
17.815 HUF +0,71%+2,50%+12,75%0.46%
857,2 SAR +1,56%+4,41%+5,18%0.42%
106 TWD 0,00%-0,47%+7,51%0.41%
6,95 HKD -3,37%-9,39%-10,90%0.40%
26,12 EUR -1,43%-2,32%+3,98%0.40%
28,82 CNY +0,59%+2,78%+23,48%0.39%
91,23 ZAR +0,21%+0,78%-0,04%0.39%
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Rating degli ETF

Descrizione

Codice ISIN IE00BF2B0K52
Spese di gestione (TER) 0.45%
Categoria di attività Actions
Settore
Dimensione
Valuta
Società di gestione
Sottostante LibertyQ Emerging Markets NTR Index - USD

Caratteristiche

Politica dei dividendi Capitalisation
Metodo di replica Physique
Giurisdizione
Modello di replica
Data di creazione
17/10/2017
Fattore
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 37 M€
AuM 1 mese 37 M€
AuM 3 mesi 36 M€
AuM 6 mesi 36 M€
AuM 12 mesi 35 M€
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