Composizione Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD

ETF

PEH

IE00B23D9570

Mercato chiuso - Euronext Paris 17:15:11 17/05/2024 Variaz. 5gg Var. 1 gen.
8,492 EUR +1,31% Grafico intraday di Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD +4,41% +14,52%

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

Peso
835 TWD -0,71%+4,90%+40,81%5.14%
36,69 BRL -5,28%-11,76%-1,48%3.02%
66,18 BRL +4,50%+2,94%-14,27%2.28%
4,71 HKD 0,00%+8,28%+23,30%1.95%
395 HKD +0,36%+6,81%+34,54%1.90%
5,85 HKD -0,85%+10,80%+25,81%1.88%
33,23 BRL +0,03%+1,78%-2,18%1.57%
2.871 INR +0,73%+2,98%+11,08%1.57%
3,86 HKD -0,26%+6,63%+29,53%1.19%
13,36 BRL +0,53%-0,67%-21,83%1.13%
170 TWD -0,87%-0,29%+62,68%1.07%
5,21 HKD +1,96%+7,87%+27,38%1.06%
7,57 HKD +1,34%+3,13%+46,71%1.02%
3,81 HKD 0,00%+7,02%+26,58%0.94%
945,8 INR +1,00%-8,19%+21,13%0.80%
1.165 TWD -2,10%+6,39%+14,78%0.79%
16,49 MXN -1,02%-3,11%+4,76%0.73%
1.444 INR -0,62%+0,33%-6,39%0.72%
19,94 HKD +0,61%+4,07%+27,82%0.71%
27,69 BRL +1,10%+0,25%-0,02%0.67%
167,2 INR +0,81%+3,24%+19,89%0.64%
175,2 MXN -0,03%0,00%+2,63%0.63%
201,2 MXN -1,20%-1,28%-8,95%0.62%
151,5 TWD +1,00%+2,36%+12,22%0.61%
13,05 MXN -0,99%-1,36%-1,29%0.56%
4.920 IDR +1,65%+5,13%-14,06%0.50%
80,2 SAR +0,12%+0,88%-7,28%0.50%
35,85 HKD +0,14%+4,22%+34,02%0.48%
52,8 TWD +1,34%+1,73%+0,38%0.47%
3.450 INR -0,27%+5,31%-2,18%0.47%
23,69 BRL -0,88%-0,80%+4,09%0.47%
35,6 SAR +1,71%-0,84%-7,89%0.46%
544 INR +0,53%+6,39%+31,75%0.46%
286 TWD +3,25%+4,19%+27,39%0.46%
3.834 INR -1,71%-3,18%+1,07%0.45%
1.141 INR +0,11%+2,35%+3,49%0.45%
468,1 INR +2,92%+11,97%+22,35%0.44%
29,19 BRL +31,96%+18,56%+17,18%0.44%
655,3 INR +0,34%+6,00%+6,57%0.43%
29,75 SAR +1,54%-0,34%-9,85%0.42%
68,7 ZAR +1,57%+4,11%-6,54%0.42%
24,84 BRL -6,65%+1,47%-6,30%0.41%
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Descrizione

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

Caratteristiche

Giurisdizione
Metodo di replica
Modello di replica
Data di creazione
18/11/2007
Politica dei dividendi
Fattore
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 30/04/2024 )

AuM (EUR) 35 M€
AuM 1 mese 32 M€
AuM 3 mesi 27 M€
AuM 6 mesi 25 M€
AuM 12 mesi 25 M€
  1. Borsa valori
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