Composizione Global X Video Games & Esports UCITS ETF - USD

ETF

HERU

IE00BLR6Q544

Tempo differito Swiss Exchange 17:41:22 26/06/2024 Variaz. 5gg Var. 1 gen.
9,228 CHF +0,07% Grafico intraday di Global X Video Games & Esports UCITS ETF - USD +1,44% +14,61%

Composizione del Global X Video Games & Esports UCITS ETF - USD

Peso
80,48 USD -0,90%-0,45%+101,96%7.29%
1.315 TWD +6,48%+10,04%+81,63%5.78%
16,45 USD -4,69%+1,67%+35,17%5.61%
289.500 KRW +2,48%-0,17%+49,54%5.44%
96,74 USD +3,98%+6,74%+3,84%4.59%
11.500 JPY -0,26%+5,94%+55,76%4.52%
2.918 JPY -1,80%+2,37%+13,58%4.27%
4.800 JPY -0,60%+5,96%-5,19%4.14%
140,6 USD -0,04%+1,77%+2,75%4.05%
3.036 JPY -0,62%+3,62%+33,27%3.95%
8.598 JPY -0,99%+1,30%+16,84%3.90%
36,91 USD +4,18%+2,81%-19,27%3.89%
157,5 USD -0,94%+1,40%-2,12%3.82%
186.500 KRW -6,66%-1,79%-22,45%3.70%
23,25 SEK +1,26%+0,52%-15,01%3.50%
138,4 PLN -2,16%+0,84%+20,30%3.44%
20,55 EUR -1,06%-3,16%-11,08%3.25%
16,46 USD +2,75%+2,36%-59,75%3.07%
1.422 JPY -0,14%+4,21%-11,56%2.03%
2.164 GBX -0,46%-3,39%+30,20%2.02%
55.400 KRW +2,03%+1,65%-4,65%1.65%
86,72 SEK +1,20%+0,75%+0,93%1.46%
1.608 JPY -0,77%+0,94%+16,74%1.36%
42.600 KRW +3,52%+3,52%-30,05%1.20%
2.770 JPY +0,18%+1,60%+17,78%1.15%
45.150 KRW +1,35%+8,40%+16,52%1.13%
20.450 KRW +0,74%-5,76%-20,89%1.04%
143,5 TWD +1,06%+1,77%-4,65%1.01%
18,6 HKD -2,82%-12,06%+82,35%0.96%
10,38 SEK +1,76%0,00%-14,71%0.93%
11,11 USD +0,82%+1,00%-21,21%0.89%
7,74 USD -0,39%-4,56%-11,24%0.85%
3,83 USD -1,29%-6,81%+4,64%0.76%
2,94 HKD +0,34%+0,68%+27,27%0.52%
83,7 TWD +0,48%-2,45%+13,11%0.44%
75.700 KRW +28,96%+33,98%+56,08%0.43%
38.850 KRW -0,26%+6,88%-21,12%0.39%
14.620 KRW -0,61%+0,41%-2,40%0.36%
20.850 KRW -0,71%+0,97%-21,76%0.32%
25.450 KRW -2,86%-1,36%-31,22%0.27%
053f31626a8bad5003.EZeUduK24lEEGy927DQIA690ehQxWIbT37j2G6p3cIQ.esTwJ6-OpiF3Y10_v3thep07DWNZbvS9p-enafUvA-5l3aUFgNCuJ2d_QA

Descrizione

Codice ISIN IE00BLR6Q544
Spese di gestione (TER) 0.50%
Categoria di attività Actions
Settore
Dimensione
Valuta
Società di gestione
Sottostante Solactive Video Games & Esports v2 Index - USD

Caratteristiche

Politica dei dividendi Capitalisation
Metodo di replica Physique
Giurisdizione
Modello di replica
Data di creazione
18/12/2020
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 3 M€
AuM 1 mese 4 M€
AuM 3 mesi 16 M€
AuM 6 mesi 15 M€
AuM 12 mesi 12 M€
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