Composizione Nikko Listed Index Fund 225 ETF - JPY

ETF

1330

JP3027660004

Mercato chiuso - Japan Exchange 08:00:00 02/05/2024 Variaz. 5gg Var. 1 gen.
39.940 JPY -0,08% Grafico intraday di Nikko Listed Index Fund 225 ETF - JPY -0,62% +14,77%

Composizione del Nikko Listed Index Fund 225 ETF - JPY

Peso
40.820 JPY -0,90%-3,22%+16,66%10.42%
35.010 JPY +0,20%+7,72%+38,63%7.52%
5.107 JPY -0,68%-2,63%+6,46%3.81%
7.793 JPY +0,05%+3,66%+23,84%3.75%
5.989 JPY -1,40%-3,53%+1,22%2.94%
4.422 JPY +0,43%+0,84%-1,43%2.67%
22.090 JPY +0,25%+10,73%-3,89%2.28%
4.677 JPY +0,39%+6,30%+12,78%2.06%
6.943 JPY -3,04%-2,65%+3,36%2.00%
2.663 JPY +0,15%+1,64%+15,23%1.83%
6.834 JPY -0,09%+8,22%+14,61%1.78%
1.900 JPY -0,45%-0,65%-7,70%1.63%
5.094 JPY +1,35%-1,76%-4,64%1.59%
40.670 JPY +2,31%+20,15%+9,42%1.48%
13.060 JPY -0,31%+4,52%-2,61%1.33%
3.581 JPY -0,67%+1,99%+38,24%1.29%
5.502 JPY +3,13%+17,99%+42,10%1.15%
12.850 JPY -1,27%-7,25%+21,80%1.05%
10.690 JPY -1,52%-3,21%+5,27%1.01%
2.456 JPY -0,12%+0,66%+22,89%0.99%
18.225 JPY -1,14%+3,88%+3,40%0.87%
1.783 JPY -0,25%+1,05%+21,62%0.87%
1.907 JPY +0,24%-1,78%+10,44%0.86%
2.682 JPY +1,44%-3,63%+26,07%0.84%
2.966 JPY -0,15%+2,33%+4,94%0.84%
3.413 JPY +1,31%+2,77%+20,84%0.84%
1.558 JPY +2,16%+4,46%-7,59%0.84%
10.025 JPY +2,42%+5,48%+20,67%0.82%
2.256 JPY +2,97%+3,77%+10,56%0.81%
82.670 JPY -0,29%+6,41%+9,12%0.75%
7.855 JPY +0,28%-0,41%+4,07%0.75%
9.345 JPY -1,07%+0,62%+26,57%0.73%
7.575 JPY -0,81%+1,03%+2,94%0.73%
2.798 JPY -2,70%+1,78%-6,52%0.71%
6.545 JPY -0,06%+7,47%-7,19%0.70%
7.344 JPY -0,61%+0,01%+8,03%0.67%
3.544 JPY -2,48%+1,37%+57,27%0.67%
5.441 JPY -0,09%+4,61%-17,35%0.65%
69.360 JPY +0,20%+7,75%+11,65%0.62%
1.806 JPY -0,63%+2,32%+19,74%0.60%
6.593 JPY -0,03%+6,00%+11,94%0.58%
6.935 JPY -0,07%+2,83%+18,75%0.58%
6.543 JPY -0,74%+1,39%+12,81%0.58%
7.331 JPY +2,80%+10,08%+27,12%0.57%
20.905 JPY +0,99%-1,83%+10,73%0.56%
1.646 JPY -0,51%-12,61%-29,43%0.56%
2.028 JPY -1,15%-0,22%+8,71%0.56%
5.385 JPY -0,07%-3,65%-2,20%0.55%
5.866 JPY -0,68%+4,23%+7,83%0.54%
4.277 JPY -0,30%-3,65%+18,15%0.54%
67fe6e6c90ab0363dc698eedc0b9df.3b_0AR_U9lrAr-oRPykd31u6mQctqZ5xI72p4Pf1KRs.sOmHOWiMwTGsxZxTaR1Zs2zK91hgmdseEejRv7KAbGKJ1LxSJ5qbDPHj2g

Descrizione

Codice ISIN JP3027660004
Spese di gestione (TER) 0.11%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante Nikkei 225 Index - JPY

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
13/07/2001
Politica dei dividendi
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 29/03/2024 )

AuM (EUR) 33 213 M€
AuM 1 mese 32 308 M€
AuM 3 mesi 27 232 M€
AuM 6 mesi 26 310 M€
AuM 12 mesi 25 007 M€
  1. Borsa valori
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