Composizione Vanguard FTSE Emerging Markets UCITS ETF Accumulating - USD

ETF

VFEAF

IE00BK5BR733

Tempo differito OTC Markets 17:01:04 11/07/2024 Variaz. 5gg Var. 1 gen.
62,87 USD +1,57% Grafico intraday di Vanguard FTSE Emerging Markets UCITS ETF Accumulating - USD +2,11% +12,72%

Composizione del Vanguard FTSE Emerging Markets UCITS ETF Accumulating - USD

Peso
1.080 TWD +3,35%+10,32%+82,12%6.92%
384,8 HKD +1,91%+0,63%+31,06%3.50%
3.161 INR -0,23%+1,71%+22,30%1.56%
1.622 INR -0,26%-6,09%-5,11%1.44%
140 USD +1,38%+2,86%-4,26%1.32%
1.653 INR +0,27%+0,12%+7,12%0.97%
62,05 BRL -2,02%-2,77%-19,57%0.90%
116,1 HKD +1,04%-3,01%+41,76%0.84%
5,53 HKD +1,84%-0,18%+18,92%0.83%
1.420 TWD -1,05%+1,07%+39,90%0.73%
3.924 INR +0,37%-2,42%+3,43%0.69%
80,5 SAR 0,00%+1,13%-6,94%0.68%
38,18 BRL +1,38%+2,28%+2,50%0.64%
225,5 TWD +0,89%+11,08%+115,79%0.61%
4,36 HKD +0,93%-9,73%+14,14%0.57%
33,45 BRL 0,00%+1,55%-1,62%0.51%
10.100 IDR +0,25%+1,00%+7,45%0.50%
3.505 ZAR -0,73%-0,42%+12,06%0.47%
3,5 HKD +0,86%-9,79%+17,45%0.47%
1.297 INR +0,36%+1,33%+17,58%0.45%
36 SAR -0,14%+1,98%-6,86%0.45%
1.439 INR -0,39%+1,31%+39,32%0.44%
16,68 HKD +3,47%-0,95%+6,92%0.44%
149,8 MXN +1,88%+1,68%-12,28%0.43%
3.621 INR -0,76%+0,18%+2,68%0.42%
2.610 INR -0,02%+3,98%-2,00%0.42%
28,15 SAR +0,18%-0,18%-14,70%0.40%
241,4 HKD +1,94%+2,90%+12,59%0.40%
4.850 IDR -0,41%+5,43%-15,28%0.39%
203,9 MXN +1,73%+3,45%-7,72%0.35%
434 TWD +3,21%+14,36%+38,44%0.33%
0,856 KWD -0,81%+0,82%+0,54%0.33%
64,42 MXN +0,73%+4,78%-9,99%0.32%
6.950 INR -1,48%-2,21%-5,15%0.32%
0,724 KWD +0,14%+2,12%+8,69%0.32%
1.462 CNY +1,70%-2,53%-15,29%0.32%
16,32 MXN +0,93%+2,77%+3,68%0.32%
54,7 TWD 0,00%+3,80%+3,99%0.30%
75 SAR +1,35%+1,35%-10,18%0.30%
77,9 ZAR +0,23%+1,27%+5,97%0.30%
2.698 INR -1,24%-7,05%+56,01%0.29%
15,08 QAR +0,53%+1,41%-8,77%0.29%
332,5 TWD -2,49%+7,95%+48,11%0.29%
8.ANevhoAaBhhOggF-sNt2hZ5MTpVSxdr2sT7NrdOdLGY.R5GWzehMT2scsFkh6oon2tInD88mta6UgW-e3bLxWjwyv-v11F8reS2wcg

Rating degli ETF

Descrizione

Codice ISIN IE00BK5BR733
Spese di gestione (TER) 0.22%
Categoria di attività Actions
Settore
Dimensione
Valuta
Società di gestione
Sottostante FTSE Emerging Net Total Return Index - 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) 493 M€
AuM 1 mese 470 M€
AuM 3 mesi 425 M€
AuM 6 mesi 367 M€
AuM 12 mesi 322 M€
  1. Borsa valori
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