Composizione Vanguard FTSE Japan UCITS ETF - USD

ETF

VNFGF

IE00B95PGT31

Mercato chiuso - OTC Markets 17:33:23 03/07/2024 Variaz. 5gg Var. 1 gen.
36,2 USD +1,40% Grafico intraday di Vanguard FTSE Japan UCITS ETF - USD 0,00% 0,00%

Composizione del Vanguard FTSE Japan UCITS ETF - USD

Peso
3.319 JPY -2,12%+1,72%+28,12%6.16%
1.816 JPY -0,60%+9,13%+49,94%2.49%
13.985 JPY +0,50%+3,36%+4,29%2.29%
36.370 JPY +1,45%+4,51%+44,01%2.19%
3.386 JPY -0,06%+9,26%+50,26%1.94%
72.700 JPY -0,66%+3,08%+17,03%1.93%
3.709 JPY -0,43%+1,51%+82,35%1.83%
6.444 JPY -0,40%+3,95%+8,91%1.67%
11.165 JPY -0,71%+6,84%+62,28%1.59%
3.848 JPY -0,08%+6,06%+45,26%1.58%
5.750 JPY +1,29%+4,43%+48,50%1.43%
9.093 JPY +3,07%+6,35%+52,49%1.39%
8.101 JPY -0,04%+5,81%+40,47%1.34%
6.243 JPY -0,48%+6,74%+76,91%1.31%
1.733 JPY -3,24%+1,20%+18,21%1.23%
8.897 JPY +0,76%+3,48%+20,90%1.14%
3.510 JPY -1,54%+6,40%+45,49%1.10%
11.225 JPY +0,31%+10,75%+78,37%1.09%
4.395 JPY +0,05%+4,12%-2,03%0.96%
42.100 JPY +0,65%+3,98%+20,32%0.91%
4.243 JPY +0,02%+2,04%+4,66%0.90%
19.405 JPY -1,62%+4,05%+10,10%0.90%
22.945 JPY 0,00%+2,64%-0,17%0.82%
2.561 JPY -1,71%+2,50%+20,40%0.78%
2.718 JPY +1,61%+8,35%+35,94%0.76%
2.039 JPY +0,84%+4,64%+15,89%0.74%
4.418 JPY -1,30%+1,10%+21,21%0.71%
3.581 JPY -0,61%+8,52%+19,65%0.69%
155,9 JPY -1,08%+3,04%-9,52%0.68%
1.994 JPY -0,05%+1,71%+6,89%0.67%
4.605 JPY +0,33%+2,22%-12,30%0.67%
80.310 JPY +0,93%+5,85%+6,01%0.66%
3.100 JPY -0,86%+4,89%+39,11%0.65%
4.115 JPY -0,31%+4,26%+33,78%0.64%
4.515 JPY +0,87%+4,51%+8,87%0.63%
4.972 JPY -0,30%+8,46%+34,82%0.62%
2.632 JPY -0,64%+5,09%+23,74%0.61%
1.520 JPY +0,73%+4,54%+31,82%0.61%
2.036 JPY +0,74%+19,06%+147,06%0.57%
4.373 JPY -1,86%-0,07%+20,80%0.57%
6.289 JPY -0,66%-0,32%+7,69%0.55%
2.748 JPY +1,03%+4,29%+18,89%0.55%
6.928 JPY -1,18%-5,57%+21,65%0.54%
3.259 JPY -0,70%+8,80%+27,85%0.54%
3.841 JPY -0,49%+12,41%+107,77%0.54%
63.240 JPY -2,07%+3,96%+80,79%0.54%
3.686 JPY -0,27%+5,37%+38,78%0.53%
6.631 JPY -2,14%+6,30%+38,23%0.52%
3.861 JPY -1,00%+3,24%+36,70%0.51%
4.669 JPY -0,62%+10,67%+56,05%0.48%
0333f83.xvGDkU0gDg-edmM3MsnYLuTt4_b2nulxFKYmOqLsGM4.8aX5xRdFQHrIIVpdY6CPfp6AjaS814YDLJ5UbPSzfLeNk7b5JkdAN-wMWw

Rating degli ETF

Descrizione

Codice ISIN IE00B95PGT31
Spese di gestione (TER) 0.15%
Categoria di attività Actions
Settore
Dimensione
Valuta
Società di gestione
Sottostante FTSE Japan Net Tax 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) 2 228 M€
AuM 1 mese 2 381 M€
AuM 3 mesi 2 329 M€
AuM 6 mesi 1 999 M€
AuM 12 mesi 1 773 M€
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