Composizione IQ 50 Percent Hedged FTSE International ETF - USD

ETF

HFXI

US45409B5600

Mercato chiuso - Nyse 22:00:00 12/07/2024 Variaz. 5gg Var. 1 gen.
27,61 USD +0,77% Grafico intraday di IQ 50 Percent Hedged FTSE International ETF - USD +1,40% +11,02%

Composizione del IQ 50 Percent Hedged FTSE International ETF - USD

Peso
1.002 EUR +1,32%+0,93%+47,01%1.93%
94,66 CHF +1,07%+2,27%-2,92%1.44%
84.400 KRW -3,65%-3,10%+7,52%1.44%
3.274 JPY -0,30%-1,36%+26,38%1.43%
2.812 GBX -0,09%-1,73%+9,37%1.26%
12.260 GBX +1,32%+1,69%+15,66%1.18%
724,8 EUR +2,08%+1,17%-1,20%1.12%
188,7 EUR +1,22%-0,18%+35,32%1.09%
100,1 CHF +0,79%+3,57%+17,90%1.06%
254,8 CHF +1,07%+4,73%+4,21%0.93%
671,1 GBX +0,25%-0,37%+5,60%0.84%
63,5 EUR +1,08%-2,85%+3,08%0.84%
43,4 AUD -0,37%-2,23%-13,91%0.76%
184,2 EUR +2,94%+3,97%+8,38%0.75%
4.434 GBX +0,64%+2,43%+16,68%0.68%
131,7 AUD +1,34%+3,59%+17,76%0.67%
234,9 EUR +2,15%+3,14%+29,22%0.66%
1.750 JPY -2,34%-3,66%+44,45%0.60%
266,7 EUR +0,98%+2,22%+10,23%0.60%
453,5 GBX +0,38%-5,95%-2,71%0.59%
94,4 EUR +0,63%+3,80%+5,17%0.57%
412,6 EUR +1,75%+0,62%-8,44%0.56%
166,1 EUR +1,63%+1,62%+3,74%0.54%
15.135 JPY -1,59%+8,22%+12,86%0.54%
133,4 EUR +1,06%-2,14%-4,59%0.53%
35.700 JPY -6,18%-1,84%+41,36%0.51%
74.240 JPY -3,27%+2,12%+19,51%0.47%
306,6 AUD +1,51%+2,29%+6,96%0.46%
2.170 EUR +2,50%+2,55%+13,09%0.46%
28,01 CHF +0,97%+2,90%+7,32%0.44%
3.335 JPY -1,01%-1,51%+47,99%0.44%
55,6 HKD +2,49%+7,44%-18,30%0.44%
1.517 GBX +0,80%+0,40%+4,61%0.43%
204,8 EUR +0,24%+1,14%+28,43%0.41%
2.540 GBX -0,26%+0,65%-11,08%0.41%
62,44 EUR +0,68%-1,92%-0,24%0.41%
3.576 GBX +0,93%-0,25%+14,98%0.41%
3.701 JPY -2,06%-0,22%+81,96%0.41%
23,88 EUR +0,51%+0,21%+9,79%0.41%
5.260 GBX +0,19%+0,02%-9,96%0.40%
143 CHF +1,17%+2,29%+23,54%0.40%
6.621 JPY -1,40%+2,75%+11,90%0.39%
51,84 CHF +2,05%+4,24%+38,98%0.39%
10.790 JPY -2,49%-3,36%+56,83%0.39%
478,4 GBX -0,09%-0,97%+1,32%0.39%
233.000 KRW -3,32%-1,27%+64,66%0.39%
3.721 JPY -1,17%-3,30%+40,47%0.38%
36,95 AUD +2,07%+4,59%+20,36%0.38%
12,05 EUR +0,29%+1,47%+1,52%0.37%
64,78 EUR +1,22%-1,05%+3,57%0.36%
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Rating degli ETF

Descrizione

Codice ISIN US45409B5600
Spese di gestione (TER) 0.20%
Categoria di attività Actions
Settore
Dimensione
Valuta
Società di gestione
Sottostante FTSE Developed ex North America 50% Hedged to USD Net Tax (US RIC) Index - USD

Caratteristiche

Politica dei dividendi Distribution
Metodo di replica Physique
Giurisdizione
Struttura del fondo
Modello di replica
Data di creazione
22/07/2015
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 566 M€
AuM 1 mese 539 M€
AuM 3 mesi 489 M€
AuM 6 mesi 409 M€
AuM 12 mesi 309 M€
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