Composizione Invesco S&P International Developed Low Volatility ETF - USD

ETF

IDLV

US46138E2303

Mercato chiuso - Nyse 22:10:00 22/04/2024 Variaz. 5gg Var. 1 gen.
27,38 USD +1,25% Grafico intraday di Invesco S&P International Developed Low Volatility ETF - USD +0,81% -2,80%

Composizione del Invesco S&P International Developed Low Volatility ETF - USD

Peso
1.848 JPY +0,63%-0,30%+5,06%0.74%
3,377 EUR +0,87%+0,15%+8,31%0.71%
3,69 AUD -0,27%+0,27%-6,82%0.68%
6.980 JPY -0,43%0,00%+14,24%0.67%
9,25 SGD +1,54%+3,47%-5,90%0.66%
14,02 SGD +1,37%+3,77%+7,85%0.66%
16,3 AUD -0,18%+1,81%+1,18%0.62%
31,95 AUD +0,28%+0,22%-14,11%0.61%
135,9 CAD +1,01%+0,70%+1,44%0.61%
3.865 GBX -0,51%+3,42%+1,89%0.61%
138,2 EUR +1,36%+3,47%+2,06%0.61%
34,62 SGD +1,61%+7,15%+13,98%0.60%
12,89 AUD -0,46%-0,85%-5,98%0.59%
520,8 CHF +0,14%+2,16%+2,96%0.59%
2,24 SGD +1,82%-1,32%-10,76%0.58%
70,68 CAD +0,54%+1,04%+2,85%0.58%
45,06 CAD +0,58%+0,90%-13,63%0.58%
72,27 EUR -2,39%+1,86%-0,74%0.58%
40,18 CAD -0,20%-0,10%-8,39%0.58%
4,715 NZD +1,40%+0,64%-8,98%0.58%
65,26 AUD -0,56%+0,18%+14,41%0.57%
31,09 SGD +2,10%+6,40%+9,28%0.57%
2.238 GBX +0,29%+4,48%+4,29%0.57%
114,6 AUD +1,51%+2,12%+2,49%0.57%
1.628 GBX +1,18%+2,13%-7,51%0.57%
36,41 CAD +0,86%+1,11%+13,60%0.57%
59,78 EUR -0,27%+3,75%+1,87%0.56%
8,77 HKD +0,57%-0,68%-5,90%0.56%
4,01 SGD +0,75%+3,62%+3,08%0.56%
2.279 JPY +0,49%+3,59%+10,31%0.55%
7,97 NZD +1,53%-1,48%-9,43%0.55%
127,4 CAD +0,48%-0,38%-2,86%0.55%
94,25 CHF +0,44%+2,57%-3,31%0.55%
6.044 JPY +0,43%-0,03%-3,56%0.54%
11,46 EUR +0,11%+3,28%-3,16%0.54%
3.051 GBX +0,03%+2,90%-4,26%0.54%
160 EUR +0,13%+2,56%+0,76%0.54%
229,6 CHF +1,66%+3,70%-6,05%0.54%
151.900 JPY +0,60%+1,13%-7,94%0.54%
34,06 EUR +1,37%+1,49%+3,27%0.54%
43,35 EUR +0,39%+7,17%+3,51%0.54%
69,57 CAD -0,19%-1,82%+1,43%0.54%
171,4 JPY -0,35%-0,58%-0,52%0.54%
36,76 CAD -0,22%+1,32%-2,98%0.53%
3.511 JPY -1,07%-0,14%+13,00%0.53%
32,14 CAD +1,32%+1,45%+9,77%0.53%
166,3 USD +0,76%+0,30%+11,39%0.53%
5.244 JPY +0,25%+2,90%+9,71%0.53%
30,18 CAD -0,07%+0,23%-5,36%0.53%
4.286 GBX +0,46%+3,60%-20,87%0.53%
83acf601c34e4fa7a85c51b97c48b5.3SE5M0s9fGfQQx17H-stZFWq8evFqfbGK3el3qYo4V4.8GhbZy8NRSHnElUwUp1nADjph42m6JyATjrTipZ9uGa8UQtLEUhNVYUnVA

Rating degli ETF

Descrizione

Codice ISIN US46138E2303
Spese di gestione (TER) 0.25%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante S&P BMI International Developed Low Volatility Net Total Return Index - USD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
13/01/2012
Politica dei dividendi
Fattore
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 28/03/2024 )

AuM (EUR) 394 M€
AuM 1 mese 492 M€
AuM 3 mesi 493 M€
AuM 6 mesi 522 M€
AuM 12 mesi 559 M€
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