Composizione WisdomTree Cloud Computing UCITS ETF - Acc - USD

ETF

KLWD

IE00BJGWQN72

Tempo differito London S.E. 12:33:21 17/12/2025 Variaz. 5gg Var. 1 gen.
34,48 USD +0,48% Grafico intraday di WisdomTree Cloud Computing UCITS ETF - Acc - USD -2,91% -7,66%

Composizione: WisdomTree Cloud Computing UCITS ETF - Acc - USD

187,75USD+2,46%+3,25%+148,25%2,36%
232,78USD+1,07%-4,21%+29,03%2,23%
197,53USD+0,42%-5,46%+83,44%2%
34,96USD+0,49%+1,10%-4,09%1,97%
77,91USD-2,48%-14,68%+19,20%1,96%
219,30USD-0,36%-5,47%+4,30%1,94%
140,05USD-1,41%-8,21%-1,99%1,92%
231,06USD+2,91%-1,07%-6,35%1,88%
220,60USD+2,47%-0,90%+42,87%1,88%
488,53USD+0,22%-5,69%+42,78%1,75%
137,50USD+2,64%+6,05%+27,22%1,74%
57,53USD+0,70%-1,44%-5,32%1,74%
451,63USD+0,62%-3,81%+35,56%1,73%
65,31USD-1,27%-5,11%+122,07%1,72%
162,77USD-0,02%+0,04%-20,59%1,7%
163,14USD+2,06%+2,03%+53,43%1,65%
90,59USD+2,71%+3,19%+14,96%1,63%
13,71USD+2,31%+0,66%-16,96%1,62%
781,12USD+2,08%-8,63%-26,32%1,62%
7,850USD+1,82%-2,61%-7,10%1,61%
28,59USD+2,62%-2,82%-4,83%1,59%
72,87USD-0,10%-1,39%-27,60%1,57%
187,09USD+0,65%-4,06%+2,82%1,55%
143,57USD-0,92%-4,31%+2,39%1,54%
88,15USD+2,21%+3,05%-52,09%1,51%
30,01USD+1,01%-4,06%-5,03%1,5%
10,17USD-1,45%-6,53%+7,73%1,47%
61,33USD+0,97%+0,90%-28,14%1,46%
67,58USD-0,89%-2,61%-24,86%1,45%
216,11USD+0,56%-2,76%-16,25%1,43%
150,14USD-0,61%-7,61%-36,23%1,42%
149,71USD+0,81%+1,91%-24,95%1,42%
24,63USD+0,45%-0,89%-26,65%1,42%
72,26USD-0,12%-6,89%-3,56%1,42%
69,20USD-0,13%+0,36%-4,74%1,4%
29,70USD+1,82%-2,17%-15,17%1,4%
44,17USD-0,47%-2,24%-18,73%1,39%
12,88USD+1,50%-1,98%-29,46%1,38%
16,09USD-0,43%-15,23%+26,59%1,37%
421,50USD+1,32%+1,80%+81,05%1,35%
29,96USD-0,37%+0,20%+7,15%1,33%
254,91USD+0,13%-2,34%-23,75%1,32%
14,49USD-1,09%-9,61%-57,91%1,31%
24,67USD-0,32%-7,12%-37,35%1,31%
22,15USD+1,70%0,00%-39,61%1,31%
54,21USD+0,07%-0,07%-36,01%1,3%
14,80USD-0,27%-0,27%-33,33%1,29%
74,98USD+1,71%+0,39%-24,32%1,28%

Rating degli ETF

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Descrizione

Codice ISIN IE00BJGWQN72
Spese di gestione (TER) 0.40%
Categoria di attività Azioni
Settore
Dimensione
Valuta
Società di gestione
Sottostante BVP Nasdaq Emerging Cloud NTR Index - USD
Autres ETFs

Caratteristiche

Politica dei dividendi Capitalisation
Metodo di replica Physique
Giurisdizione
Struttura del fondo
Modello di replica
Data di creazione
03/09/2019
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/10/2025 )

AuM (EUR) 213 M€
AuM 1 mese 231 M€
AuM 3 mesi 251 M€
AuM 6 mesi 259 M€
AuM 12 mesi 276 M€
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