Composizione Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD

ETF

PEHH

IE00B23D9570

Mercato chiuso - Swiss Exchange 05:55:01 12/07/2024 Variaz. 5gg Var. 1 gen.
7,047 GBX -0,05% Grafico intraday di Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD +0,31% +10,23%

Composizione del Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD

Peso
1.040 TWD -3,70%+3,48%+75,38%5.14%
38,15 BRL +1,30%+1,68%+2,44%3.02%
62,92 BRL -0,65%-1,07%-18,50%2.28%
4,48 HKD +2,75%-4,68%+17,28%1.95%
397 HKD +3,17%+4,53%+35,22%1.90%
5,66 HKD +2,35%+5,60%+21,72%1.88%
33,46 BRL -0,56%+1,61%-1,50%1.57%
3.193 INR +1,02%+0,51%+23,54%1.57%
3,59 HKD +2,57%-5,53%+20,47%1.19%
12,64 BRL -0,24%+1,44%-26,04%1.13%
216 TWD -4,21%+0,70%+106,70%1.07%
4,91 HKD +0,61%-7,53%+20,05%1.06%
8,02 HKD -0,74%-4,98%+55,43%1.02%
3,48 HKD +2,96%+2,65%+15,61%0.94%
1.017 INR -0,41%+2,30%+30,21%0.80%
1.360 TWD -4,23%+0,74%+33,99%0.79%
16,24 MXN -1,64%+3,18%+3,18%0.73%
1.712 INR +3,57%+3,90%+10,94%0.72%
16,84 HKD +0,96%+1,32%+7,95%0.71%
26,83 BRL +0,40%+0,37%-3,12%0.67%
168,7 INR -0,18%-3,46%+20,93%0.64%
149,5 MXN +0,31%+0,88%-12,44%0.63%
206,7 MXN +1,05%+7,16%-6,45%0.62%
177,5 TWD -8,27%+5,34%+31,48%0.61%
12,16 MXN -0,16%+9,45%-8,02%0.56%
4.900 IDR +1,24%+2,08%-14,41%0.50%
80,5 SAR 0,00%+1,13%-6,94%0.50%
34,25 HKD -0,44%-8,30%+28,04%0.48%
53 TWD -3,11%-0,93%+0,76%0.47%
3.648 INR +0,73%+0,54%+3,43%0.47%
22,75 BRL -1,09%+2,89%-0,04%0.47%
36 SAR -0,14%+1,98%-6,86%0.46%
637,4 INR -1,31%+9,80%+54,38%0.46%
326 TWD -1,95%+4,49%+45,21%0.46%
4.184 INR +6,63%+4,29%+10,30%0.45%
1.318 INR +1,62%+2,37%+19,48%0.45%
555,2 INR -2,71%+3,91%+45,10%0.44%
32,1 BRL +45,12%+2,88%+28,86%0.44%
692,2 INR -0,55%-0,89%+12,57%0.43%
28,15 SAR +0,18%-0,18%-14,70%0.42%
79,13 ZAR +0,20%+2,74%+7,65%0.42%
22,7 BRL -14,69%+2,71%-14,37%0.41%
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Descrizione

Codice ISIN IE00B23D9570
Spese di gestione (TER) 0.49%
Categoria di attività Actions
Settore
Dimensione
Valuta
Società di gestione
Sottostante FTSE RAFI Emerging Market Net Total Return Index - USD

Caratteristiche

Politica dei dividendi Distribution
Metodo di replica Physique
Giurisdizione
Modello di replica
Data di creazione
19/11/2007
Fattore
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 35 M€
AuM 1 mese 35 M€
AuM 3 mesi 31 M€
AuM 6 mesi 26 M€
AuM 12 mesi 25 M€
  1. Borsa valori
  2. ETF
  3. ETF PEHH
  4. Composizione Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD