Composizione VanEck Multi-Asset Balanced Allocation UCITS ETF - EUR

ETF

NTM

NL0009272772

Tempo reale Euronext Amsterdam 10:03:58 30/04/2024 Variaz. 5gg Var. 1 gen.
67,02 EUR -0,24% Grafico intraday di VanEck Multi-Asset Balanced Allocation UCITS ETF - EUR +0,96% +1,56%

Composizione del VanEck Multi-Asset Balanced Allocation UCITS ETF - EUR

Peso
603.000 JPY +0,50%-0,50%-1,31%0.28%
131,1 USD +1,47%+2,87%-2,48%0.28%
62,26 USD -0,64%+2,15%+21,03%0.28%
443,8 CHF -0,11%-2,18%+0,98%0.28%
2.232 GBX +0,74%+0,13%+4,05%0.28%
706,4 GBX -4,72%-4,88%-20,38%0.28%
31,9 AUD +0,19%-0,16%-14,25%0.28%
22,91 EUR -0,09%-0,69%+20,02%0.28%
4.280 JPY +1,57%-3,58%+18,23%0.28%
246,8 USD +0,10%+4,55%+6,69%0.28%
421.000 KRW +3,06%-0,12%-10,81%0.27%
72,5 USD -0,92%+6,59%+25,41%0.27%
2,59 SGD -0,38%0,00%-14,52%0.27%
374,1 USD -0,32%+1,41%+10,90%0.27%
25,53 EUR -0,21%+0,55%+6,26%0.27%
38,28 EUR +0,34%+2,89%-15,37%0.27%
164,2 USD +0,18%+1,16%+2,44%0.27%
2.692 JPY -2,38%-3,27%+26,54%0.27%
3.957 CHF +0,43%-0,58%+13,55%0.27%
90,49 USD -0,57%+2,45%+13,52%0.27%
17,32 HKD -0,57%+7,05%+11,03%0.27%
273,6 USD +0,17%-0,74%-7,74%0.27%
201,1 EUR -0,25%-1,81%+10,74%0.27%
3.260 GBX +0,11%-0,37%+1,84%0.26%
301 NOK +0,30%+2,36%-6,55%0.26%
47,78 USD -0,17%-0,75%-5,42%0.26%
58,5 EUR -0,27%-1,78%-0,24%0.26%
638,4 USD +0,29%+4,69%+2,14%0.26%
74,56 USD -0,57%+0,40%+8,37%0.26%
36,57 EUR +0,69%+1,50%+12,63%0.26%
34,58 USD -0,40%+2,37%+1,38%0.26%
230,9 USD +0,47%-0,13%+3,77%0.26%
7.720 JPY +0,93%+2,96%+4,91%0.26%
148,6 USD +0,65%+2,19%-5,52%0.26%
187,5 AUD -0,07%-0,74%+2,09%0.26%
3,404 EUR -1,18%-0,22%+11,50%0.26%
1.059 GBX +0,50%-0,05%+0,09%0.25%
44,67 USD +1,52%+3,57%-10,37%0.25%
146,8 USD -0,45%-0,43%+0,37%0.25%
12.023 GBX -0,01%+6,69%+13,42%0.25%
116,5 USD -0,61%+1,71%+10,49%0.25%
154,3 USD -1,01%+3,71%+16,17%0.25%
3.377 JPY +1,47%+1,69%+19,57%0.25%
78,55 USD +1,75%+1,22%+13,58%0.25%
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Descrizione

Codice ISIN NL0009272772
Spese di gestione (TER) 0.30%
Categoria di attività
Valuta
Società di gestione
Sottostante Think Total Market Neutraal Index - EUR

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
14/12/2009
Politica dei dividendi

Distribuzione

Investitore individuale

Evoluzione AuM ( 28/03/2024 )

AuM (EUR) 36 M€
AuM 1 mese 35 M€
AuM 3 mesi 28 M€
AuM 6 mesi 27 M€
AuM 12 mesi 28 M€
  1. Borsa valori
  2. ETF
  3. ETF NTM
  4. Composizione VanEck Multi-Asset Balanced Allocation UCITS ETF - EUR