Samenstelling First Trust Horizon Managed Volatility Small/Mid ETF - USD

ETF

HSMV

US33741Y1001

Vertraagde tijd Nyse 20:00:30 10-06-2024 Variatie 5 dagen Verschil t.o.v. 1 jan (%)
33,1 USD -0,21% Intraday-grafiek van First Trust Horizon Managed Volatility Small/Mid ETF - USD -1,40% +3,13%

Samenstelling van de First Trust Horizon Managed Volatility Small/Mid ETF - USD

Gewicht
42,43 USD -0,16%+0,47%-8,61%0.65%
107,4 USD -0,65%-4,05%+1,15%0.65%
180,1 USD +3,54%-8,14%-16,00%0.61%
74,36 USD +0,36%-2,29%+17,47%0.61%
250 USD +0,58%-1,81%-6,58%0.60%
12,84 USD -0,43%-0,43%+7,51%0.59%
374,8 USD -0,31%+0,64%+74,30%0.58%
102,4 USD -1,59%-6,11%-5,08%0.58%
407 USD -0,45%+0,36%+30,20%0.58%
274,3 USD -0,24%-0,62%+24,85%0.56%
102,5 USD -0,54%-2,79%-15,65%0.56%
205,8 USD +1,08%-0,68%+23,32%0.55%
88,68 USD +0,27%+2,12%+32,76%0.55%
126,8 USD +0,76%-0,55%-14,01%0.54%
25,74 USD -0,31%-2,83%+11,68%0.54%
215,5 USD +0,74%-0,12%+23,40%0.54%
70,75 USD +0,01%-3,28%-12,12%0.53%
37 USD +0,07%-2,39%-1,22%0.53%
83,72 USD -0,78%-3,67%-14,72%0.53%
78,15 USD +1,57%-1,75%+32,15%0.53%
60,84 USD +0,67%-3,40%-4,69%0.52%
168,8 USD +0,52%-0,29%+38,21%0.52%
32 USD -0,45%-1,04%+4,29%0.52%
40,86 USD -0,18%-0,53%+8,89%0.52%
140 USD -2,05%-2,40%+6,13%0.52%
35,6 USD +0,55%-1,80%+1,75%0.52%
41,95 USD -0,19%-0,62%-2,78%0.52%
127,5 USD -1,40%-1,71%+4,90%0.52%
32,92 USD +1,73%-1,02%+9,15%0.52%
24,28 USD +0,19%-0,84%-5,33%0.52%
73,98 USD -0,37%-2,82%+1,51%0.52%
119,8 USD +1,03%-0,43%+52,61%0.51%
- USD -.--% - - 0.51%
- AUD -.--% - - 0.51%
0,214 EUR -.--% - - 0.51%
- AUD -.--% - - 0.51%
0,3938 CAD -17,11% - - 0.51%
21,1 CAD -0,24% - - 0.51%
- NOK -.--% - - 0.51%
- GBX -.--% - - 0.51%
- EUR -.--% - - 0.51%
- EUR -.--% - - 0.51%
- RUB - - - 0.51%
109,9 USD +1,59%-0,42%-1,68%0.51%
86,32 USD +0,60%+0,64%-6,66%0.51%
66,8 USD -0,31%-0,69%-3,32%0.51%
14,66 USD +1,28%+1,73%+17,00%0.51%
20,66 USD -1,31%-3,39%+6,97%0.51%
145,4 USD -0,10%-1,99%+17,46%0.51%
115,6 USD -0,13%-2,80%-7,11%0.51%
183,4 USD +1,76%+1,53%-4,76%0.51%
166,8 USD +0,46%+2,29%-9,36%0.51%
125 USD -0,96%-3,12%+1,04%0.51%
115,7 USD -0,22%-0,79%+6,56%0.51%
66,22 USD -0,56%-3,28%-10,35%0.51%
53,18 USD -0,46%+0,34%+17,15%0.51%
25,67 USD -0,62%-0,58%+14,61%0.51%
112,7 USD -1,26%-1,24%-0,69%0.51%
59,83 USD +0,15%-2,43%-4,04%0.51%
73,75 USD +0,75%+2,56%+12,92%0.51%
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Beschrijving

ISIN-code US33741Y1001
Totalekostenratio (TER) 0.80%
Activaklassen
Sector
Grootte
Valuta
Beheerder

Kenmerken

Rechtsgebied
Fondsstructuur
Aanmaakdatum
04-06-2020
Dividendbeleid
Factor
Geografisch zwaartepunt

Distributie

Individuele belegger

Veranderingen in de stand van zaken ( 31-05-2024 )

Volume (EUR) 17 M€
Volume 1 maand 17 M€
AuM 3 months 17 M€
AuM 6 months 17 M€
AuM 12 months 16 M€
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