Verzögert
Andere Börsenplätze
|
% 5 Tage | % 1. Jan. | ||
- CHF | -.--% | -.--% | -.--% |
Anlageziel
Name |
Kurs
|
%
|
% 5 Tage
|
% 1. Jan.
|
Gewichtung
| |
---|---|---|---|---|---|---|
25.87 EUR | +2.50% | +2.70% | -9.36% | 14,74% | ||
85 CHF | +0.29% | +0.12% | -5.40% | 5,42% | ||
77.66 EUR | +1.07% | +3.41% | +16.05% | 5,09% | ||
76.92 EUR | +2.81% | +3.55% | -3.03% | 4,35% | ||
114.5 CHF | +0.26% | -1.80% | -2.64% | 4,25% | ||
95.2 EUR | +2.15% | +2.26% | -13.53% | 4,21% | ||
130 SEK | +2.69% | +0.89% | -9.32% | 4,09% | ||
25.02 EUR | +0.72% | +1.71% | +1.38% | 3,76% | ||
24.76 EUR | +1.89% | -3.88% | -13.12% | 3,56% | ||
Beschreibung
ISIN Code | IE00BSJCQV56 |
---|---|
Verwaltungsgebühren | 0.30% |
Anlageklassen | |
Branche | |
Wert | |
Währung | |
Fondsgesellschaft | |
Basiswert | FTSE EPRA/NAREIT Developed Europe Ex UK Net Total Return Index - EUR |
Merkmale
Gerichtsstand | |
Replikationsmethode | |
Replikationsmodell | |
Erstellungsdatum |
10.08.2015
|
Dividenden-Politik | |
Geographischer Fokus |
Entwicklungen der ausstehenden Beträge ( 28.03.2024 )
Volumen (EUR) | 95 M€ |
---|---|
Volumen 1M | 88 M€ |
Volumen 3M | 91 M€ |
Volumen 6M | 76 M€ |
Volumen 12M | 34 M€ |