Composizione WisdomTree International MidCap Dividend Fund - USD

ETF

DIM

US97717W7781

Mercato chiuso - Nyse 22:10:00 07/06/2024 Variaz. 5gg Var. 1 gen.
63,06 USD -1,24% Grafico intraday di WisdomTree International MidCap Dividend Fund - USD -1,25% +3,77%

Composizione del WisdomTree International MidCap Dividend Fund - USD

Peso
65,95 EUR -1,12%-6,65%+7,06%0.83%
3,51 EUR +0,06%+1,92%+12,57%0.71%
16,98 AUD +1,13%+3,41%+5,40%0.66%
14,34 EUR -0,21%-1,21%+28,02%0.65%
44,05 HKD +0,46%+1,73%-2,65%0.65%
5,91 HKD +0,17%-2,64%-1,17%0.62%
35,27 NOK +0,77%-5,06%+9,67%0.61%
3.315 ILa -1,46%-2,50%+0,76%0.58%
34,64 EUR -2,28%-3,78%+1,52%0.57%
51,32 CHF -0,35%-5,10%+8,84%0.56%
33,9 HKD -0,59%+3,35%-22,69%0.56%
10,83 EUR -0,91%+2,65%+26,90%0.55%
13,98 HKD -0,43%-2,51%-11,52%0.55%
27,05 EUR -0,11%-2,73%+9,20%0.55%
3,21 AUD -0,31%+1,90%+7,36%0.53%
6,506 EUR +0,25%-1,48%+36,08%0.52%
971,5 JPY -1,21%+2,21%+52,34%0.51%
43,8 EUR -0,14%-4,16%+11,42%0.51%
6,63 SGD -0,30%-1,34%-6,22%0.51%
28,2 EUR -0,42%+2,17%+23,31%0.50%
5,944 EUR +0,99%0,00%+13,26%0.50%
99,6 EUR -2,21%-1,73%+2,66%0.48%
32,2 EUR -2,72%-1,68%+51,03%0.48%
1.709 ILa +0,47%-1,27%-6,00%0.46%
10,93 EUR -1,62%-0,82%+8,65%0.46%
18,42 EUR -0,86%-8,68%-0,43%0.46%
41,26 EUR +0,78%+0,34%+2,74%0.46%
9.246 GBX -0,39%-0,99%+13,90%0.46%
144,3 DKK -0,35%+2,20%-1,77%0.44%
3.635 JPY -0,95%+2,92%+16,06%0.44%
3.060 ILa -1,54%-0,33%+3,73%0.44%
14,65 AUD 0,00%+2,88%+7,72%0.44%
19,08 EUR -0,37%-1,22%+43,03%0.44%
16,53 AUD +0,85%+3,90%+19,35%0.43%
43,72 EUR +0,28%+2,39%+4,42%0.43%
6,27 AUD -0,63%-2,94%+26,67%0.43%
26,68 EUR -1,19%+0,30%+8,10%0.41%
16,98 EUR 0,00%+2,66%+13,88%0.41%
2.704 GBX -0,44%+2,11%+17,31%0.40%
370,4 GBX -0,54%-2,78%+20,53%0.40%
777,8 JPY -0,59%-4,02%+38,79%0.40%
2,216 EUR -0,54%+0,27%+14,05%0.40%
43,62 EUR -1,18%-2,42%+21,57%0.37%
3,666 EUR -1,82%-8,67%+3,33%0.37%
47,48 EUR -1,10%-1,90%-16,29%0.37%
1.984 JPY -0,13%-5,39%+9,25%0.36%
99,7 EUR -0,99%-0,40%-0,60%0.36%
7.938 GBX -0,63%+0,48%+11,96%0.36%
96,2 CHF +0,42%+1,21%-11,34%0.36%
500eb.5PdN-yQ4sRwsWCL10qjClHxdcGVkBGM1a3ogatCQpnc.u4MYrncV9S5Na2eAkIWXzkw4HAkITgZAIS9TDbLh1Q2hoiKPR0jFS0Y-QQ

Rating degli ETF

Descrizione

Codice ISIN US97717W7781
Spese di gestione (TER) 0.58%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante WisdomTree International MidCap Dividend Total Return Index - USD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
16/06/2006
Politica dei dividendi
Fattore
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 126 M€
AuM 1 mese 123 M€
AuM 3 mesi 122 M€
AuM 6 mesi 126 M€
AuM 12 mesi 120 M€
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