Composizione Schwab Fundamental Emerging Markets Large Company Index ETF - USD

ETF

FNDE

US8085247307

Mercato chiuso - Nyse 22:00:00 01/05/2024 Variaz. 5gg Var. 1 gen.
28,29 USD 0,00% Grafico intraday di Schwab Fundamental Emerging Markets Large Company Index ETF - USD +2,13% +4,24%

Composizione del Schwab Fundamental Emerging Markets Large Company Index ETF - USD

Peso
69,1 TWD -0,43%+4,38%+6,64%0.40%
14,25 TWD -.--%+9,62%-0,35%0.39%
35,8 TWD -1,51%+4,68%-10,16%0.39%
90,58 ZAR -0,35%+9,15%-21,58%0.39%
25,85 BRL -2,23%-0,69%-2,49%0.38%
3.170 IDR +2,92%-.--%-19,75%0.38%
7,47 HKD -1,45%+5,06%-4,23%0.37%
441,6 INR +6,27%+9,20%+15,41%0.37%
24,85 TWD -0,60%+0,61%-7,96%0.36%
14,58 HKD +0,41%+24,83%+5,96%0.36%
643,9 INR -0,97%+4,03%+4,72%0.36%
9,73 MYR -0,21%-0,10%+9,45%0.35%
66,86 MXN +0,60%+4,29%-6,58%0.35%
50,7 TWD +0,60%+3,68%-3,61%0.35%
18,3 TWD -0,54%+8,61%+0,83%0.35%
88,3 TWD +1,96%+1,85%+8,21%0.34%
3,05 HKD -3,17%+8,54%-8,68%0.34%
28,45 HKD -0,52%+19,04%+1,61%0.34%
16,62 AED -2,24%-2,24%-15,38%0.34%
13,87 QAR -.--%+1,02%-16,09%0.33%
4.940 IDR +3,56%-6,79%-13,71%0.33%
30,1 SAR -.--%-0,17%-8,79%0.33%
0,485 HKD +1,04%-.--%-37,82%0.33%
4,6 HKD +2,91%+6,24%+25,00%0.33%
3.594 INR -1,09%-0,53%+1,90%0.32%
454,3 INR +0,23%+2,56%+20,82%0.32%
2.156 INR +4,57%+3,14%+24,69%0.32%
37,6 SAR -0,66%+0,13%-2,72%0.32%
1.323 INR -0,78%+1,88%+28,08%0.32%
34,1 TWD -0,44%+8,77%+20,28%0.31%
79,9 SAR -0,50%+1,65%-7,63%0.31%
7,71 AED 0,00%-8,00%-2,65%0.30%
124 TWD -0,40%-1,20%+3,33%0.29%
12,22 AED -2,08%-1,61%-12,46%0.29%
19,84 HKD -1,78%-5,52%-2,98%0.29%
0,865 KWD +0,46%-.--%+1,60%0.29%
56,7 TWD -1,56%-1,05%-14,74%0.29%
6.900 IDR -0,36%+2,60%+14,05%0.29%
145,5 ZAR +1,01%+3,32%-11,15%0.29%
301,8 INR +2,77%+6,42%+27,26%0.28%
209,1 INR -0,21%+5,21%+28,99%0.28%
5,66 HKD +1,43%+5,60%+16,22%0.28%
3.014 HUF +0,33%+1,14%+6,65%0.28%
76,5 TWD -1,03%-3,04%+2,68%0.27%
7,63 HKD -0,65%+3,39%+8,38%0.27%
55,5 TWD -0,54%+0,73%-10,91%0.27%
507,2 INR +9,54%+16,72%+22,84%0.27%
18.070 HUF +2,03%+5,95%+14,37%0.27%
6c4a4f0dbf.CXmPtKpUYphtjdrAQaIm_ZiEeh5-YPd93rD94NPBr84.aij6wsJhK_El2LWiL5NEk9ypKHxJLo8P54K1kKDzm70xNuyG5Row1A7lgw

Rating degli ETF

Descrizione

Codice ISIN US8085247307
Spese di gestione (TER) 0.39%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante Russell RAFI Emerging Markets Large Company Net Total Return Index - USD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
15/08/2013
Politica dei dividendi
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 28/03/2024 )

AuM (EUR) 5 161 M€
AuM 1 mese 5 053 M€
AuM 3 mesi 5 009 M€
AuM 6 mesi 4 696 M€
AuM 12 mesi 4 310 M€
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