Einzelwerte Simplify Developed Ex-US Plus Downside Convexity ETF - USD

ETF

A3DZP5

US82889N7315

EAFD

Verzögert Nyse 16:53:05 26.10.2023 % 5 Tage % 1. Jan.
17.9 USD -0.41% Intraday Chart für Simplify Developed Ex-US Plus Downside Convexity ETF - USD -1.23% -3.35%

Zusammensetzung des Simplify Developed Ex-US Plus Downside Convexity ETF - USD

Gewichtung
95.42 CHF -0.13%+1.30%-2.14%1,78%
859.1 EUR +0.95%+1.32%+26.02%1,48%
786 EUR -0.38%-0.38%+7.14%1,30%
12’166 GBX -0.05%-1.35%+14.77%1,16%
234.8 CHF +3.21%+5.62%-3.97%1,15%
92.62 CHF -0.73%+2.30%+9.13%1,15%
2’829 GBX -1.39%-2.73%+10.01%1,13%
3’408 JPY +1.67%-0.50%+31.56%1,02%
44.86 AUD +0.72%+4.58%-10.98%0,82%
176.7 EUR +0.36%-0.58%+26.71%0,81%
696.5 GBX -0.74%+0.81%+9.60%0,81%
66.46 EUR -1.50%-2.77%+7.89%0,78%
4’280 GBX -0.47%+0.33%+12.63%0,71%
90.24 EUR -0.35%-3.16%+0.53%0,67%
175 EUR -6.77%-4.93%+2.99%0,64%
121.1 AUD -0.97%+2.99%+8.28%0,62%
453.5 EUR -0.72%-0.08%+0.63%0,59%
489.3 GBX -1.54%-2.94%+4.97%0,59%
13’105 JPY +0.69%+11.96%-2.24%0,58%
64.1 HKD +1.42%-0.31%-5.95%0,58%
266.3 EUR +1.14%+1.14%+10.06%0,54%
185.1 EUR -0.96%-1.01%+5.09%0,52%
232.8 EUR -1.58%+1.35%+28.09%0,52%
2’817 GBX +0.50%-0.70%-1.37%0,51%
1’562 JPY +2.56%-1.98%+28.89%0,51%
27.42 CHF -0.90%+4.14%+5.06%0,49%
159 EUR -0.65%-2.14%+13.72%0,48%
280 AUD -2.42%+0.26%-2.35%0,48%
72’960 JPY -0.27%+4.01%+17.47%0,45%
137.4 CHF +0.66%+3.38%+18.75%0,41%
12.36 EUR +0.04%+3.00%+4.13%0,40%
1’784 GBX -1.60%+0.17%+22.98%0,40%
2’486 GBX +0.81%+3.54%+8.30%0,39%
469.1 CHF +3.49%+2.99%+6.71%0,39%
36’180 JPY -1.74%+3.34%+43.22%0,39%
21.89 EUR -1.04%-0.05%+0.64%0,38%
5’649 GBX +2.30%+1.16%-3.30%0,38%
71.61 EUR -0.20%+1.42%+14.41%0,37%
2’283 EUR -0.13%-0.87%+18.98%0,36%
4.804 EUR -0.16%+0.72%+27.12%0,35%
14’460 JPY +1.05%+0.17%+42.33%0,35%
3’455 GBX -0.20%+0.12%+11.09%0,34%
47.65 CHF -1.14%+2.32%+27.75%0,34%
116 EUR -0.51%+0.78%+2.02%0,33%
68.32 EUR -0.99%-0.04%+9.22%0,33%
34.55 AUD -0.03%+2.19%+12.54%0,33%
5’839 JPY -1.53%+0.60%-1.37%0,32%
9’723 JPY +3.44%+8.04%+41.34%0,32%
493 GBX +1.05%+6.35%+4.43%0,31%
3b8de73dca5aeaca123e8a7191428.XKQIxPpBvL4psWyL-6SEfdc417e53IAWkwCEl55TAdQ.EZI5iI4r9tgZxyv9l8n0DKFz-oPL6-5U_kXTpvtgVbE_402JzgnLzUfpPQ

Beschreibung

ISIN Code US82889N7315
Verwaltungsgebühren 0.57%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Erstellungsdatum
11.01.2022
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 27.10.2023 )

Volumen (EUR) 10 M€
Volumen 1M 15 M€
Volumen 3M 15 M€
Volumen 6M 20 M€
Volumen 12M 21 M€
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