Samenstelling Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD

ETF

PEHH

IE00B23D9570

Beurs gesloten - Swiss Exchange 05:55:02 21-05-2024 Variatie 5 dagen Verschil t.o.v. 1 jan (%)
7,299 GBX +2,00% Intraday-grafiek van Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD +2,46% +11,95%

Samenstelling van de Invesco FTSE RAFI Emerging Markets UCITS ETF Dist - USD

Gewicht
841 TWD +0,72%+2,69%+41,82%5.14%
36,68 BRL -5,31%-10,25%-1,50%3.02%
65,96 BRL +4,15%+2,06%-14,56%2.28%
4,76 HKD +0,63%+4,85%+24,61%1.95%
383,6 HKD -2,89%+1,43%+30,65%1.90%
5,87 HKD -0,51%+4,26%+26,24%1.88%
32,96 BRL -0,51%-1,35%-2,97%1.57%
2.872 INR +0,03%+2,38%+11,11%1.57%
3,96 HKD +1,02%+6,17%+32,89%1.19%
13,33 BRL -0,74%-0,74%-22,00%1.13%
166 TWD -0,90%-2,06%+58,85%1.07%
5,14 HKD -0,77%+0,39%+25,67%1.06%
7,72 HKD 0,00%+1,31%+49,61%1.02%
3,83 HKD +0,52%+2,41%+27,24%0.94%
951,2 INR -0,19%-0,88%+21,83%0.80%
1.175 TWD -1,26%+5,38%+15,76%0.79%
16,42 MXN +0,12%-2,09%+4,32%0.73%
1.434 INR -0,70%+0,75%-7,05%0.72%
19,3 HKD -2,92%-0,31%+23,72%0.71%
27,9 BRL +1,86%-0,39%+0,74%0.67%
174,3 INR +3,81%+6,38%+24,95%0.64%
169,7 MXN -2,87%-4,81%-0,64%0.63%
196,6 MXN -1,33%-4,57%-11,04%0.62%
154 TWD +1,32%+4,05%+14,07%0.61%
13 MXN +0,70%-2,69%-1,66%0.56%
4.680 IDR -2,90%0,00%-18,25%0.50%
79,2 SAR -0,75%+0,38%-8,44%0.50%
36,85 HKD +1,66%+1,94%+37,76%0.48%
53,9 TWD +1,51%+2,86%+2,47%0.47%
3.440 INR -0,71%+4,39%-2,47%0.47%
23,56 BRL -0,76%-1,83%+3,51%0.47%
34,6 SAR +0,73%-3,62%-10,48%0.46%
547 INR +0,55%+5,56%+32,48%0.46%
282 TWD 0,00%+2,73%+25,61%0.46%
3.820 INR -0,36%-3,23%+0,71%0.45%
1.138 INR -0,49%+0,24%+3,14%0.45%
469,1 INR +0,21%+12,63%+22,61%0.44%
29,49 BRL +33,32%+17,26%+18,39%0.44%
693,2 INR +5,03%+9,44%+12,73%0.43%
29,95 SAR +0,17%0,00%-9,24%0.42%
69,42 ZAR +0,30%+2,87%-5,56%0.42%
24,62 BRL -7,48%-0,57%-7,13%0.41%
7638bf3.hkenCKPK0cGIus9bgpSHNKd6ZrnDfs24mmwDSK-vlC4.337jOc7_i7bujq4Dz9bkc_cDEvqzFpf6yQ5hHfD-xXfJNv1Y_P6Sgv7LvA

Beschrijving

ISIN-code IE00B23D9570
Totalekostenratio (TER) 0.49%
Activaklassen
Sector
Grootte
Valuta
Beheerder
Onderliggende waarde FTSE RAFI Emerging Market Net Total Return Index - USD

Kenmerken

Rechtsgebied
Methode van replicatie
Replicatiemodel
Aanmaakdatum
18-11-2007
Dividendbeleid
Factor
Geografisch zwaartepunt

Distributie

Individuele belegger

Veranderingen in de stand van zaken ( 30-04-2024 )

Volume (EUR) 35 M€
Volume 1 maand 32 M€
AuM 3 months 27 M€
AuM 6 months 25 M€
AuM 12 months 25 M€
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