Composizione iShares Listed Private Equity UCITS ETF (Dist) - USD

ETF

IPRV

IE00B1TXHL60

Tempo differito Swiss Exchange 05:55:01 07/06/2024 Variaz. 5gg Var. 1 gen.
29,71 EUR -0,21% Grafico intraday di iShares Listed Private Equity UCITS ETF (Dist) - USD +1,00% +8,45%

Composizione del iShares Listed Private Equity UCITS ETF (Dist) - USD

Peso
1.166 CHF -1,52%-2,90%-3,46%8.55%
119,2 USD -2,09%-0,13%-8,97%8.08%
2.906 GBX -1,56%+1,71%+20,28%7.85%
57,86 CAD -2,00%-0,89%+8,86%7.53%
99,49 USD -3,78%-4,18%+20,08%6.88%
53,24 CAD -1,93%-1,64%+0,04%3.96%
113 USD -2,85%-3,25%+21,23%3.76%
21,35 USD -1,07%-0,33%+6,59%3.50%
2.256 GBX -2,59%-2,08%+34,60%3.07%
16,4 USD +0,37%-1,50%+11,11%2.81%
32 AUD +1,14%+3,09%-2,35%2.65%
20,57 USD -0,34%+1,58%+3,00%2.52%
41,33 USD -3,57%-3,00%+1,57%2.38%
98,61 CAD -1,42%+3,56%+6,57%2.32%
121 USD -1,94%-2,42%+6,66%2.04%
31,29 USD -0,54%+0,26%+13,21%1.98%
75,75 EUR -4,17%-1,94%+5,43%1.90%
48,79 USD -0,43%+0,66%+12,86%1.75%
336 GBX -0,44%-0,62%+4,64%1.32%
40,38 USD -1,82%-3,26%-6,46%1.27%
16,06 USD -0,31%-1,53%+6,36%1.27%
479,9 GBX -0,64%-0,21%+10,47%1.22%
2.410 GBX -0,41%+0,84%+2,12%1.13%
19,77 USD -0,10%+1,18%+18,60%1.13%
89,85 EUR -1,16%-0,99%+11,41%1.12%
324 GBX -0,15%-0,61%+4,18%1.03%
5,56 USD -1,42%-0,54%-7,18%0.86%
15,27 USD +0,07%0,00%+4,23%0.79%
19,53 USD -0,96%+0,21%-4,36%0.77%
18 USD -0,44%-1,32%-7,74%0.65%
12,59 USD 0,00%+0,08%-1,02%0.57%
369,5 SEK -0,03%+1,37%+29,46%0.57%
1.240 GBX +0,65%+1,31%+0,81%0.52%
25,92 USD -0,38%+2,29%+9,37%0.49%
209,4 GBX -2,15%-6,35%-25,00%0.46%
16,16 USD +1,25%+2,93%+18,13%0.44%
16,64 USD 0,00%+1,77%+10,71%0.41%
9,84 USD -0,20%-1,50%+14,69%0.39%
16,75 USD -0,36%+1,15%+11,15%0.39%
1.586 GBX -0,50%-1,37%-5,39%0.38%
38,45 SEK -0,03%-3,27%+6,60%0.38%
11,37 USD -0,18%+0,71%-6,03%0.35%
17,9 USD +0,11%+0,62%+19,65%0.34%
1.856 JPY +0,46%+3,95%+12,48%0.33%
11,07 EUR +0,15%+0,61%+6,67%0.32%
18,66 USD +1,63%+2,75%+7,36%0.32%
155,6 GBX -0,26%-1,27%-3,23%0.32%
22,34 USD -1,59%-1,06%-0,49%0.31%
11,48 USD +0,70%+4,46%-0,52%0.31%
490 GBX +0,20%+1,88%+7,24%0.31%
5506c8d7503505446e37.k2Eijx64GLnSEXTP4R82dyb-J0hBmAV2-q1FURMHXtY.1DhTyVvpcPq6IiD-qCwHGX-JU3t40mxblv52M3RKGu72F3fLScF9irNCLQ

Rating degli ETF

Descrizione

Codice ISIN IE00B1TXHL60
Spese di gestione (TER) 0.75%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante S&P Listed Private Equity Net Total Return Index - USD

Caratteristiche

Giurisdizione
Metodo di replica
Modello di replica
Data di creazione
15/03/2007
Politica dei dividendi
Focus geografico

Distribuzione

Investitore individuale
Investitore qualificato

Evoluzione AuM ( 30/04/2024 )

AuM (EUR) 701 M€
AuM 1 mese 702 M€
AuM 3 mesi 671 M€
AuM 6 mesi 535 M€
AuM 12 mesi 714 M€
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