Einzelwerte First Trust IPOX Europe Equity Opportunities ETF - Distributing - USD

ETF

A3C997

US33734X7883

FPXE

Markt geschlossen - Nasdaq 22:15:00 17.05.2024 % 5 Tage % 1. Jan.
25.7 USD -0.14% Intraday Chart für First Trust IPOX Europe Equity Opportunities ETF - Distributing -  USD +2.17% +14.54%

Zusammensetzung des First Trust IPOX Europe Equity Opportunities ETF - Distributing - USD

Gewichtung
82.4 EUR -1.29%+1.05%+3.13%8,05%
80.01 USD -0.50%-2.12%+35.40%7,96%
35.78 EUR -2.29%+5.37%+32.61%5,55%
302.8 USD +1.58%+2.79%+61.15%4,18%
25 EUR -1.65%+2.97%+108.33%3,99%
20.71 USD -0.96%-5.09%-24.11%3,82%
23.22 EUR +0.35%-1.02%+9.74%3,54%
37.3 EUR +0.05%-1.64%+7.00%2,63%
39.32 EUR +0.82%-5.23%+15.58%2,17%
101 USD +2.20%+0.94%+35.98%2,15%
205.8 SEK -2.65%0.00%+20.35%1,78%
18.91 EUR +1.18%+4.24%+18.41%1,73%
12.7 EUR -5.22%-3.75%+4.53%1,63%
29.13 USD +2.57%-1.42%-26.50%1,63%
89.05 NOK +0.06%+0.79%+26.85%1,49%
205.5 GBX -0.92%0.00%-7.60%1,43%
13.86 EUR +1.09%+4.37%-11.66%1,37%
230.2 SEK -0.78%+13.40%-14.04%1,25%
341.2 SEK -1.16%+4.79%+19.72%1,20%
793 GBX +0.76%-0.69%-9.27%1,15%
28.74 EUR +2.06%+2.61%+11.35%1,13%
303.4 SEK +1.00%+1.95%+25.68%1,07%
39.75 USD -2.72%-2.86%-34.18%1,06%
422 GBX -1.26%-0.71%-4.26%0,96%
329 GBX -1.02%+0.37%+2.29%0,94%
314.7 USD -0.35%-0.21%+11.18%0,91%
277 SEK -1.91%-3.82%+3.75%0,90%
242.6 SEK -0.66%+5.02%+28.91%0,75%
90.61 USD -2.55%-1.16%-14.15%0,73%
12.83 USD +0.63%+4.22%+4.39%0,68%
37.1 CHF +1.20%+0.22%+41.28%0,64%
116.5 NOK -0.77%-0.85%+26.29%0,60%
119.2 GBX -0.83%+0.08%-8.45%0,54%
228.8 USD +0.19%+25.90%+21.84%0,53%
11.44 EUR -1.21%-2.60%+40.44%0,52%
32.4 EUR 0.00%-4.42%+51.97%0,51%
19.2 CHF -0.26%+0.05%-0.78%0,50%
17 CHF +0.35%+2.41%+3.66%0,48%
48.41 USD -4.18%-2.14%-48.28%0,46%
38.85 PLN +1.20%+2.24%+16.58%0,42%
65.5 SEK +3.31%+1.16%-14.51%0,40%
82.3 NOK +0.24%-0.30%+4.39%0,38%
69.65 NOK -0.57%-0.36%-9.25%0,33%
10.58 EUR -2.04%-1.12%+18.54%0,31%
17.1 EUR +2.58%+11.26%+36.64%0,29%
16.28 NOK +0.37%+3.04%-18.52%0,29%
12.08 EUR +2.03%+3.82%-14.08%0,26%
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Beschreibung

ISIN Code US33734X7883
Verwaltungsgebühren 0.70%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert IPOX 100 Europe Index TR - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
03.10.2018
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 5 M€
Volumen 1M 5 M€
Volumen 3M 4 M€
Volumen 6M 4 M€
Volumen 12M 5 M€
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