Einzelwerte iShares MSCI Taiwan UCITS ETF - USD

ETF

A0HGWE

IE00B0M63623

ITWN

Markt geschlossen - Euronext Amsterdam 14:28:17 17.05.2024 % 5 Tage % 1. Jan.
79.05 EUR -0.42% Intraday Chart für iShares MSCI Taiwan UCITS ETF - USD +3.81% +15.74%

Zusammensetzung des iShares MSCI Taiwan UCITS ETF - USD

Gewichtung
835 TWD -0.71%+4.11%+40.81%30,80%
1’165 TWD -2.10%+6.39%+14.78%5,33%
170 TWD -0.87%+0.29%+62.68%4,44%
322.5 TWD +0.78%+1.10%+2.87%2,09%
52.8 TWD +1.34%+1.15%+0.38%2,03%
286 TWD +3.25%+5.73%+27.39%2,01%
74.6 TWD +0.95%+3.90%+15.12%1,74%
38.1 TWD +1.60%+1.74%+34.39%1,71%
126 TWD +0.40%+0.40%+5.00%1,56%
40.85 TWD +0.12%-0.24%+4.21%1,51%
56.4 TWD 0.00%+1.62%+23.28%1,50%
151.5 TWD +1.00%0.00%+12.22%1,42%
29 TWD +2.47%+1.75%+12.40%1,24%
79.2 TWD -0.75%+2.59%+6.31%1,23%
516 TWD 0.00%+9.67%+5.41%1,19%
56.5 TWD -1.57%-0.88%-15.04%1,09%
25.05 TWD -0.40%+1.01%-7.22%1,09%
68.3 TWD -0.15%-0.44%-13.76%1,05%
28.05 TWD +1.08%+0.54%+2.37%1,02%
603 TWD +2.03%+2.55%+16.63%1,01%
152.5 TWD -0.33%-0.33%-20.98%0,99%
2’325 TWD +0.65%+4.26%-18.99%0,95%
32.65 TWD +0.15%+1.71%+18.30%0,95%
26.6 TWD -0.37%0.00%-0.37%0,95%
499.5 TWD +1.01%+8.23%-4.49%0,91%
112 TWD 0.00%-1.75%+13.59%0,86%
2’800 TWD -0.18%+9.80%-14.50%0,84%
183.5 TWD +0.27%-3.42%+4.26%0,83%
100 TWD -0.50%-4.76%-14.53%0,82%
33.9 TWD +0.89%+1.80%-2.73%0,81%
530 TWD -3.11%+2.51%+12.41%0,78%
56.6 TWD -0.70%0.00%-9.15%0,75%
624 TWD -1.27%+1.96%-11.99%0,74%
23.15 TWD +1.09%+0.87%+17.51%0,71%
18.9 TWD +0.53%+0.53%+4.42%0,69%
640 TWD -0.78%+0.79%+7.20%0,69%
14.4 TWD 0.00%+1.77%+14.74%0,69%
26 TWD -0.19%-0.95%+16.33%0,68%
46.1 TWD -1.71%-1.71%-1.50%0,62%
2’635 TWD -1.13%+9.56%+44.38%0,61%
103.5 TWD +1.97%+4.02%+18.56%0,60%
351 TWD -1.82%-0.28%-5.65%0,60%
209 TWD -0.71%-0.71%+6.09%0,59%
106 TWD +0.47%+0.95%+7.51%0,59%
37.1 TWD -0.93%+1.92%-6.90%0,56%
443 TWD -1.56%+6.88%-11.40%0,55%
2’430 TWD -0.41%+9.95%-0.82%0,53%
48.15 TWD +0.73%+0.73%-10.50%0,53%
275.5 TWD -0.36%+0.36%+2.23%0,53%
1’430 TWD +0.70%+12.60%-17.82%0,51%
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ETF Ratings

Beschreibung

ISIN Code IE00B0M63623
Verwaltungsgebühren 0.74%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Taiwan 20/35 NTR Index - USD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
27.10.2005
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson
Qualifizierter Investor

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 355 M€
Volumen 1M 363 M€
Volumen 3M 300 M€
Volumen 6M 272 M€
Volumen 12M 307 M€
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