Composizione Nikko Listed Index Fund International Emerging Countries Equity (MSCI EMERGING) ETF - JPY

ETF

1681

JP3047130004

Tempo differito Japan Exchange 07:43:08 03/07/2024 Variaz. 5gg Var. 1 gen.
2.228 JPY -0,29% Grafico intraday di Nikko Listed Index Fund International Emerging Countries Equity (MSCI EMERGING) ETF - JPY +0,59% +20,96%

Composizione del Nikko Listed Index Fund International Emerging Countries Equity (MSCI EMERGING) ETF - JPY

Peso
979 TWD +1,98%+3,60%+65,09%7.88%
379,4 HKD +2,76%-0,68%+29,22%3.85%
81.800 KRW 0,00%+1,24%+4,20%3.50%
3.105 INR -0,81%+6,76%+20,11%1.40%
137,3 USD +2,58%-1,90%-6,13%0.99%
1.202 INR +0,92%+0,30%+20,57%0.95%
117,1 HKD +4,37%+0,26%+42,98%0.95%
236.000 KRW +1,72%+4,89%+66,78%0.92%
5,8 HKD -1,02%0,00%+24,73%0.81%
203 TWD -0,73%-3,79%+94,26%0.79%
1.627 INR +0,39%+5,54%+5,48%0.75%
1.769 INR +2,20%+3,35%+3,48%0.68%
1.405 TWD -0,35%+1,44%+38,42%0.62%
64,18 BRL +1,34%+4,53%-16,87%0.55%
3.965 INR -1,30%+3,30%+4,53%0.55%
79,1 SAR -0,63%-3,54%-8,55%0.54%
37,84 BRL +0,48%+2,02%+1,61%0.48%
3,83 HKD -0,78%-0,26%+28,52%0.48%
1.420 INR +0,13%+0,37%+37,52%0.47%
3.520 ZAR +0,72%-1,25%+12,53%0.46%
16,9 HKD +1,44%-4,95%+8,33%0.46%
4,73 HKD -0,42%+3,28%+23,82%0.45%
10.000 IDR +1,01%+4,17%+6,38%0.44%
1.280 INR +2,07%+0,78%+16,03%0.42%
35,6 SAR -0,28%-0,70%-7,89%0.39%
3.615 INR -0,26%+0,77%+2,49%0.38%
230,2 HKD +0,88%-3,92%+7,37%0.37%
32,86 BRL +0,61%+1,48%-3,27%0.37%
147,3 MXN +0,61%-3,19%-13,73%0.34%
276.000 KRW +1,28%-4,33%+35,63%0.33%
7.259 INR +1,30%+2,61%-0,94%0.30%
2.878 INR +0,45%-1,08%+66,41%0.30%
123.700 KRW +0,08%-4,11%+23,70%0.30%
0,849 KWD +0,12%-0,59%-0,28%0.29%
308 TWD +0,49%+0,98%+37,19%0.29%
12.124 INR +0,67%+0,06%+17,68%0.28%
0,709 KWD +0,42%-1,12%+6,44%0.28%
84.400 KRW +1,44%+6,84%+56,01%0.28%
2.510 INR +1,01%+3,22%-5,75%0.28%
1.812 INR +2,37%+1,65%-5,06%0.28%
27,85 SAR -0,71%+0,72%-15,61%0.28%
370.500 KRW +1,37%+1,09%-25,83%0.28%
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Descrizione

Codice ISIN JP3047130004
Spese di gestione (TER) 0.24%
Categoria di attività Actions
Settore
Dimensione
Valuta
Società di gestione
Sottostante MSCI Emerging Markets Index PR - USD

Caratteristiche

Politica dei dividendi Distribution
Metodo di replica Physique
Giurisdizione
Struttura del fondo
Modello di replica
Data di creazione
22/01/2010
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 46 M€
AuM 1 mese 46 M€
AuM 3 mesi 43 M€
AuM 6 mesi 43 M€
AuM 12 mesi 42 M€
  1. Borsa valori
  2. ETF
  3. ETF 1681
  4. Composizione Nikko Listed Index Fund International Emerging Countries Equity (MSCI EMERGING) ETF - JPY