Samenstelling First Trust Nasdaq BuyWrite Income ETF - USD

ETF

FTQI

US33738R4074

Beurs gesloten - Nasdaq 22:15:00 03-05-2024 Variatie 5 dagen Verschil t.o.v. 1 jan (%)
20,09 USD +0,95% Intraday-grafiek van First Trust Nasdaq BuyWrite Income ETF - USD +0,75% +1,36%

Samenstelling van de First Trust Nasdaq BuyWrite Income ETF - USD

Gewicht
406,7 USD +2,22%+0,08%+8,14%9.45%
452 USD +2,33%+1,96%+27,69%3.93%
887,9 USD +3,46%+1,20%+79,29%3.89%
1.278 USD +3,19%-4,91%+14,50%3.06%
181,2 USD +0,66%+7,67%-27,08%2.46%
743,9 USD +1,56%+2,02%+12,70%2.25%
167,2 USD +0,37%-2,74%+19,72%1.95%
486,2 USD +2,02%+1,81%-18,51%1.89%
176,2 USD +0,40%+0,32%+3,72%1.76%
47,12 USD +0,71%-1,55%-6,73%1.70%
579,3 USD +2,51%+3,23%+18,99%1.54%
164,6 USD -0,19%+0,39%+2,66%1.44%
30,9 USD +1,28%-3,07%-38,51%1.35%
38,69 USD +0,86%+0,31%-11,77%1.32%
629,3 USD +2,48%-1,14%+0,68%1.23%
700,2 USD +0,21%-4,30%-13,06%1.22%
179,6 USD -0,26%+8,44%+24,21%1.18%
99,67 USD -0,07%-1,98%-15,78%1.12%
735 USD -2,77%+0,20%+26,08%0.87%
303,7 USD +1,12%-1,40%-13,45%0.85%
151,2 USD +1,16%0,00%-1,04%0.75%
145,9 USD +1,96%+0,98%-9,36%0.69%
104,6 USD +2,47%+3,27%+18,69%0.66%
425,2 USD +1,97%+2,26%-3,48%0.57%
115,8 USD +0,73%-1,20%+9,84%0.52%
273,7 USD +0,56%-0,23%+4,00%0.51%
116,6 USD +1,00%+2,65%-7,09%0.51%
175,8 USD +3,03%-2,88%+0,46%0.49%
103 USD +4,11%+7,32%+10,58%0.48%
39,24 USD +0,38%+2,91%+7,04%0.44%
309 USD +2,64%+0,23%+9,17%0.43%
122,6 USD +0,27%-4,20%+25,32%0.40%
139,4 USD +1,40%+1,24%+0,30%0.40%
240 USD +4,85%+7,79%+5,80%0.38%
362,8 USD -0,09%-5,46%-11,25%0.38%
165,4 USD -0,38%-2,93%-15,75%0.35%
181,8 USD +1,19%+5,88%-15,80%0.35%
517,2 USD +1,25%-1,82%-5,13%0.34%
313,9 USD -0,84%-1,91%+14,26%0.33%
193,1 USD -0,40%-1,60%-23,89%0.33%
87,5 USD +1,40%+1,70%+2,50%0.32%
716,6 USD +3,01%-0,95%+1,44%0.32%
92,15 USD -0,28%-2,09%-15,12%0.31%
165,6 USD +0,60%+2,19%-17,11%0.31%
400,1 USD -1,45%-6,70%-8,70%0.31%
469 USD +0,98%+1,79%+12,17%0.30%
392,6 USD +0,38%-0,85%+28,07%0.29%
492,4 USD -0,11%-0,59%-6,46%0.29%
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Beschrijving

ISIN-code US33738R4074
Totalekostenratio (TER) 0.85%
Activaklassen
Sector
Grootte
Valuta
Beheerder

Kenmerken

Rechtsgebied
Fondsstructuur
Aanmaakdatum
06-01-2014
Dividendbeleid
Geografisch zwaartepunt

Distributie

Individuele belegger

Veranderingen in de stand van zaken ( 28-03-2024 )

Volume (EUR) 239 M€
Volume 1 maand 203 M€
AuM 3 months 126 M€
AuM 6 months 79 M€
AuM 12 months 27 M€
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