Composizione iShares Developed Markets Property Yield UCITS ETF (Accumulating) - USD

ETF

DPYA

IE00BFM6T921

Tempo differito London S.E. 17:00:46 19/04/2024 Variaz. 5gg Var. 1 gen.
5,02 USD +0,40% Grafico intraday di iShares Developed Markets Property Yield UCITS ETF (Accumulating) - USD -3,23% -9,50%

Composizione del iShares Developed Markets Property Yield UCITS ETF (Accumulating) - USD

Peso
103,3 USD -1,30%-13,13%-22,45%8.00%
91,29 USD +0,53%+1,87%+1,44%3.13%
261,1 USD +0,31%-4,08%-14,42%3.09%
140,5 USD +0,09%-3,05%-1,58%3.00%
52,94 USD +1,74%+1,86%-7,72%2.72%
137,3 USD +0,46%-3,78%+1,88%2.63%
134,3 USD +0,10%-4,56%-16,25%2.17%
27,84 USD +1,18%-0,09%-12,44%2.13%
184,3 USD +1,23%+0,11%-1,73%1.72%
61,77 USD +1,28%+0,15%+1,01%1.49%
25,22 EUR +1,06%+0,04%-11,53%1.43%
117,6 USD +0,96%-3,43%-7,18%1.42%
1.570 JPY -2,70%-6,24%+36,25%1.39%
33,68 USD +0,85%-0,56%-1,11%1.35%
43,04 USD +0,93%+0,44%-13,68%1.31%
118,5 USD +0,43%-1,93%-11,45%1.07%
236,6 USD +1,12%-1,10%-4,55%1.03%
126,1 USD +1,18%-1,65%-6,28%1.01%
70 HKD 0,00%-4,18%-17,11%0.99%
2.798 JPY -0,73%-8,50%+44,00%0.96%
30,85 HKD -0,32%-4,19%-29,65%0.91%
55,78 USD +2,07%+1,49%-13,92%0.90%
847,4 GBX +0,83%-1,07%-4,26%0.89%
18,64 USD +0,30%-6,65%-4,11%0.89%
18,08 USD +1,94%-0,36%-15,37%0.85%
62,81 USD +0,77%+3,06%-10,83%0.82%
36,35 USD +1,59%-0,76%-5,04%0.81%
42,74 USD +0,92%-0,35%-13,21%0.81%
58,16 USD +0,70%-0,46%-13,10%0.79%
42,81 USD -0,88%-8,18%-23,60%0.77%
35,34 USD +0,88%-0,55%-1,65%0.77%
59,52 USD +1,42%-1,65%-15,05%0.72%
18,14 USD +0,69%-2,13%-8,46%0.71%
3,15 AUD 0,00%-1,56%+5,35%0.68%
42,12 USD +0,63%-3,83%-9,08%0.68%
96,6 USD +1,38%-1,32%-2,66%0.66%
31,1 HKD -0,16%-2,35%-20,66%0.62%
99,27 USD +0,75%-0,39%-3,59%0.55%
158,5 USD -0,46%-7,27%-13,58%0.54%
22,86 USD +0,59%-4,59%-24,55%0.53%
84,68 CHF +0,03%-0,59%-5,84%0.51%
2,56 SGD -1,16%-5,19%-15,51%0.51%
40,1 USD +0,82%-1,70%-6,93%0.51%
1,88 SGD +1,08%-2,08%-8,74%0.50%
75,18 EUR +0,40%+2,06%+12,28%0.48%
30,35 USD +1,23%-0,41%-0,93%0.48%
4,38 AUD -2,67%-4,16%-1,57%0.47%
34,82 USD +1,27%-6,34%-11,51%0.46%
21,42 USD +0,54%-0,09%-7,95%0.46%
45,37 USD -1,52%-11,53%-14,00%0.45%
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Rating degli ETF

Descrizione

Codice ISIN IE00BFM6T921
Spese di gestione (TER) 0.59%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante FTSE EPRA/NAREIT Developed Dividend+ Net Total Return Index - USD

Caratteristiche

Giurisdizione
Metodo di replica
Modello di replica
Data di creazione
10/05/2018
Politica dei dividendi
Fattore
Focus geografico

Distribuzione

Investitore individuale
Investitore qualificato

Evoluzione AuM ( 28/03/2024 )

AuM (EUR) 266 M€
AuM 1 mese 254 M€
AuM 3 mesi 272 M€
AuM 6 mesi 258 M€
AuM 12 mesi 266 M€
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