Composizione Tracker Fund Of Hong Kong ETF - HKD

ETF

2800

HK2800008867

Tempo differito Hong Kong S.E. 05:20:54 17/07/2024 Variaz. 5gg Var. 1 gen.
18,28 HKD 0,00% Grafico intraday di Tracker Fund Of Hong Kong ETF - HKD +1,44% +6,34%

Composizione del Tracker Fund Of Hong Kong ETF - HKD

Peso
371,4 HKD -1,75%-1,59%+26,57%9.22%
664 GBX +0,03%-0,82%+4,48%8.49%
54,05 HKD +0,84%+4,04%-20,50%5.81%
118,1 HKD +0,51%+2,79%+44,20%5.73%
5,47 HKD 0,00%+0,74%+17,63%4.87%
75,4 HKD -1,82%-0,66%+16,28%3.79%
4,37 HKD 0,00%+1,39%+14,66%2.92%
21,1 HKD -5,38%-4,29%+63,08%2.79%
16,72 HKD +2,33%+3,72%+7,18%2.68%
243 HKD +0,50%+0,75%-9,25%2.67%
3,44 HKD -1,15%-0,86%+15,44%2.60%
239,4 HKD -0,50%+0,93%+11,47%1.98%
98,15 HKD +2,83%+11,16%+5,48%1.50%
7,5 HKD -5,30%-6,12%+45,74%1.37%
74,55 HKD +1,29%+8,04%-1,58%1.12%
64,95 HKD +0,31%+2,69%+0,70%1.10%
4,81 HKD -4,18%-0,82%+17,85%1.02%
33,5 HKD -2,19%-3,04%+25,23%0.97%
71,6 HKD +1,70%+8,98%-15,22%0.93%
40,5 HKD +1,38%+9,61%-3,23%0.90%
17,06 HKD -4,05%-1,27%+33,96%0.83%
33,15 HKD +1,84%-5,96%-26,58%0.82%
26,65 HKD +0,38%+2,70%-4,82%0.81%
22,8 HKD 0,00%+0,44%+7,55%0.79%
32,8 HKD +0,92%+9,15%-25,20%0.77%
101,4 HKD +1,00%+2,79%+11,37%0.70%
34,35 HKD +0,73%+1,33%-21,60%0.68%
11,04 HKD +1,85%+1,85%+8,70%0.68%
10,72 HKD -0,19%-4,96%-1,83%0.63%
6,29 HKD +0,32%+2,77%+5,52%0.59%
30,45 HKD +0,83%+3,05%-22,45%0.58%
71,7 HKD +1,70%-0,28%-10,82%0.57%
17,94 HKD -0,88%+0,90%-9,77%0.57%
45,75 HKD +1,78%+6,67%+0,77%0.55%
28 HKD +1,45%+6,26%-18,13%0.52%
6,01 HKD +0,33%-0,17%-17,22%0.51%
8,22 HKD +0,12%+0,73%-4,19%0.51%
13,58 HKD +2,11%+4,45%-1,16%0.49%
7,31 HKD +0,55%+3,69%-6,41%0.48%
60,7 HKD -0,74%-1,54%+5,65%0.47%
16,42 HKD +1,11%+1,48%-28,14%0.47%
01.ofFoSp-BoQ2iK64qwN7vqr0TPjw566uEDJT9OixhTKw.7sAJMubKlEnoZMV8kpnb7OxBdlkMgcjbR62uZRs3FuTVlD0m-OfIfvVvzQ

Descrizione

Codice ISIN HK2800008867
Spese di gestione (TER) 0.10%
Categoria di attività Actions
Settore
Dimensione
Valuta
Società di gestione
Sottostante Hang Seng Index - HKD

Caratteristiche

Politica dei dividendi Distribution
Metodo di replica Physique
Giurisdizione
Struttura del fondo
Modello di replica
Data di creazione
12/11/1999
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 29/05/2024 )

AuM (EUR) 16 346 M€
AuM 3 mesi 14 581 M€
AuM 6 mesi 14 088 M€
AuM 12 mesi 14 664 M€
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