Composizione Vanguard FTSE Developed Asia Pacific ex Japan UCITS ETF - USD

ETF

VAPX

IE00B9F5YL18

Mercato chiuso - London S.E. 17:35:06 05/07/2024 Variaz. 5gg Var. 1 gen.
20,49 GBX -0,01% Grafico intraday di Vanguard FTSE Developed Asia Pacific ex Japan UCITS ETF - USD +0,69% +0,33%

Composizione del Vanguard FTSE Developed Asia Pacific ex Japan UCITS ETF - USD

Peso
87.100 KRW +2,96%+6,87%+10,96%9.15%
44,39 AUD -0,85%+4,01%-11,94%4.82%
127,1 AUD -0,59%-0,22%+13,69%4.30%
299,8 AUD +0,76%+1,54%+4,57%2.97%
51,75 HKD -1,99%-2,36%-23,95%2.88%
35,33 AUD -1,23%-2,48%+15,08%2.36%
236.000 KRW +2,61%-0,21%+66,78%2.33%
27,2 AUD -0,55%-0,11%+18,78%2.02%
28,65 AUD +0,49%+1,45%+10,53%1.88%
37,42 SGD -1,47%+4,55%+23,20%1.75%
65,34 AUD +0,09%+0,25%+14,55%1.68%
204,5 AUD -0,24%-0,09%+11,37%1.52%
244,8 HKD -1,84%-2,16%-8,66%1.40%
35,43 AUD +0,14%+1,96%+40,04%1.30%
15 SGD -0,99%+3,95%+15,38%1.26%
29,26 AUD +0,10%+3,72%-5,80%1.19%
32,5 SGD -0,21%+3,73%+14,24%0.93%
22,41 AUD -0,93%+4,67%-22,78%0.92%
33,79 AUD +0,57%0,00%-9,17%0.87%
12,38 AUD +0,41%-0,16%-9,70%0.86%
281.000 KRW +1,26%-4,75%+38,08%0.85%
185.800 KRW +1,59%+6,60%-7,79%0.78%
377.000 KRW +0,53%+3,86%-24,52%0.75%
88.200 KRW +2,68%+12,36%+63,03%0.71%
126.300 KRW +0,56%-2,32%+26,30%0.71%
168.100 KRW +5,19%+0,72%-24,96%0.66%
90,7 HKD -0,17%+1,68%-2,53%0.63%
17,04 AUD +0,59%-2,01%+15,06%0.59%
50,96 AUD +1,49%+2,41%+24,84%0.58%
53.500 KRW +1,90%+11,11%+33,25%0.57%
382.000 KRW +2,00%+7,91%-19,07%0.56%
7,99 AUD -0,12%+4,31%+5,13%0.56%
47,84 AUD +1,03%+1,14%-15,31%0.53%
361.000 KRW -0,28%+4,49%-27,66%0.47%
17,14 AUD +0,23%+0,65%+6,39%0.47%
16,8 AUD -0,12%-3,50%+21,30%0.47%
322 AUD +1,03%-3,05%+7,82%0.46%
66,5 HKD -0,23%-1,55%-21,26%0.45%
14,09 AUD 0,00%-3,03%+3,60%0.45%
2,84 SGD -1,73%+3,27%+14,52%0.45%
37,45 HKD -1,19%+0,13%-10,51%0.45%
63,15 HKD -1,25%+0,08%-2,02%0.44%
135,4 AUD +0,48%-0,76%+20,54%0.41%
357.500 KRW -0,42%+9,49%-16,37%0.38%
66.200 KRW +0,61%+9,06%+52,53%0.38%
30,5 HKD -0,49%+0,49%-30,44%0.38%
242.000 KRW +0,41%-3,78%+2,11%0.38%
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Rating degli ETF

Descrizione

Codice ISIN IE00B9F5YL18
Spese di gestione (TER) 0.15%
Categoria di attività Actions
Settore
Dimensione
Valuta
Società di gestione
Sottostante FTSE All-World Developed Asia Pacific ex Japan Net Total Return Index - USD

Caratteristiche

Politica dei dividendi Distribution
Metodo di replica Physique
Giurisdizione
Modello di replica
Data di creazione
21/05/2013
Focus geografico

Distribuzione

Investitore individuale
Investitore qualificato

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 1 029 M€
AuM 1 mese 956 M€
AuM 3 mesi 947 M€
AuM 6 mesi 883 M€
AuM 12 mesi 860 M€
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