Composizione Vanguard FTSE Developed World UCITS ETF Accumulating - USD

ETF

VGVF

IE00BK5BQV03

Mercato chiuso - Deutsche Boerse AG 19:37:39 12/07/2024 Variaz. 5gg Var. 1 gen.
98,54 EUR +0,79% Grafico intraday di Vanguard FTSE Developed World UCITS ETF Accumulating - USD +1,08% +16,89%

Composizione del Vanguard FTSE Developed World UCITS ETF Accumulating - USD

Peso
1.701 USD -0,31%-0,15%+52,36%0.88%
204,9 USD -1,21%+0,08%+20,49%0.87%
248,3 USD +3,03%-1,27%-0,06%0.79%
511,4 USD +1,40%+4,80%-2,85%0.70%
980,3 DKK +1,34%+0,65%+40,42%0.63%
440,1 USD +0,84%-2,10%+3,18%0.59%
1.002 EUR +1,32%+0,93%+47,01%0.55%
94,66 CHF +1,07%+2,27%-2,92%0.42%
41,6 USD -0,50%+2,94%+23,55%0.40%
181,6 USD -0,21%+5,61%+23,16%0.40%
69,24 USD -0,80%-1,14%+31,76%0.40%
2.812 GBX -0,09%-1,73%+9,37%0.36%
440,7 USD +1,34%+1,14%+7,30%0.33%
188,7 EUR +1,22%-0,18%+35,32%0.31%
104,2 USD +0,04%+0,19%-5,31%0.29%
144,6 USD +1,29%-0,16%+37,15%0.27%
642 USD +1,99%-4,01%+2,71%0.27%
335,6 USD +1,35%+2,21%+13,50%0.27%
41,43 USD +0,31%+0,39%+9,89%0.26%
671,1 GBX +0,25%-0,37%+5,60%0.26%
254,8 CHF +1,07%+4,73%+4,21%0.26%
63,5 EUR +1,08%-2,85%+3,08%0.24%
182,8 USD +2,50%+3,83%+11,75%0.24%
28,92 USD +0,91%+3,10%+0,45%0.23%
758,5 USD +1,25%-5,95%+7,36%0.22%
43,4 AUD -0,37%-2,23%-13,91%0.22%
76 USD +1,74%+5,42%+25,12%0.22%
238,7 USD -0,03%+1,29%+27,40%0.21%
151,6 CAD +0,81%+2,27%+13,12%0.21%
479,9 USD +0,14%+3,26%+24,40%0.21%
234,2 USD +1,92%+9,48%+5,22%0.21%
444,2 USD +0,15%+0,09%+31,66%0.20%
4.434 GBX +0,64%+2,43%+16,68%0.20%
535,5 USD +0,32%+0,99%+13,57%0.20%
131,7 AUD +1,34%+3,59%+17,76%0.20%
133,6 USD +2,55%+1,48%+56,49%0.19%
234,9 EUR +2,15%+3,14%+29,22%0.19%
213,3 USD +0,70%+1,48%+33,92%0.19%
1.070 USD +0,93%-1,65%+36,59%0.18%
64,52 USD -1,80%+0,77%+25,44%0.18%
266,7 EUR +0,98%+2,22%+10,23%0.17%
75,41 USD -0,88%+3,02%+9,61%0.17%
73,44 USD +0,06%-2,64%-32,36%0.17%
453,5 GBX +0,38%-5,95%-2,71%0.17%
94,4 EUR +0,63%+3,80%+5,17%0.17%
114,3 USD +0,32%+2,38%+21,84%0.17%
77,37 CAD +0,82%+2,83%-9,64%0.17%
104,1 USD -0,53%+4,51%+11,62%0.17%
77,65 USD +0,99%+1,64%+34,32%0.16%
15.135 JPY -1,59%+8,22%+12,86%0.16%
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Rating degli ETF

Descrizione

Codice ISIN IE00BK5BQV03
Spese di gestione (TER) 0.12%
Categoria di attività Actions
Settore
Dimensione
Valuta
Società di gestione
Sottostante FTSE Developed Index NTR - USD

Caratteristiche

Politica dei dividendi Capitalisation
Metodo di replica Physique
Giurisdizione
Modello di replica
Data di creazione
24/09/2019
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 2 409 M€
AuM 1 mese 2 194 M€
AuM 3 mesi 1 928 M€
AuM 6 mesi 1 340 M€
AuM 12 mesi 992 M€
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