Samenstelling First Trust Horizon Managed Volatility Domestic ETF - USD

ETF

HUSV

US33739P8894

Beurs gesloten - Nyse 22:10:00 21-06-2024 Variatie 5 dagen Verschil t.o.v. 1 jan (%)
35,82 USD +0,41% Intraday-grafiek van First Trust Horizon Managed Volatility Domestic ETF - USD +1,73% +6,73%

Samenstelling van de First Trust Horizon Managed Volatility Domestic ETF - USD

Gewicht
191,8 USD +0,01%+1,70%+16,34%2.56%
62,77 USD +0,95%+0,35%+6,52%2.43%
561,5 USD +0,41%+2,19%+2,99%2.30%
148,8 USD +0,66%+2,21%-5,10%2.27%
68,73 USD +0,42%+0,67%+38,67%2.27%
111 USD +0,57%+2,31%+18,33%2.22%
209 USD +0,11%+2,63%+16,69%2.17%
259,4 USD +2,20%+2,29%-12,52%2.16%
275,2 USD -0,58%+1,68%+5,71%2.11%
207,5 USD -1,04%-2,35%+7,77%2.10%
386 USD +0,37%+2,83%+23,30%2.06%
168,3 USD +0,35%+0,88%+14,82%2.01%
47,29 USD +1,22%+3,52%-6,39%1.99%
214,4 USD -0,28%+2,64%+13,16%1.97%
176,7 USD +0,16%+0,42%+10,23%1.97%
76,56 USD +0,14%+3,75%+10,02%1.92%
181,7 USD +0,44%+0,77%-11,78%1.89%
97,27 USD +0,33%+2,80%+22,03%1.87%
236,7 USD +0,42%+1,78%+15,24%1.79%
134,3 USD +0,10%-1,83%+2,78%1.78%
169,6 USD -0,08%+1,21%-5,24%1.69%
172,5 USD -0,84%+1,92%+5,45%1.62%
88,92 USD -0,49%-0,19%-24,87%1.56%
67,91 USD -0,15%+1,33%+29,23%1.46%
167,3 USD +0,36%+2,12%-1,51%1.44%
139,5 USD -0,46%-0,01%+14,78%1.43%
215,1 USD +0,44%+3,15%+2,57%1.33%
99,84 USD -0,26%-2,46%+2,89%1.28%
194,5 USD -2,02%-1,34%-7,65%1.25%
264,6 USD -0,71%+1,98%+17,08%1.22%
33,41 USD +0,30%+3,82%-3,63%1.20%
99,92 USD -1,26%-2,23%+6,21%1.18%
19,71 USD -0,45%+0,61%+11,73%1.18%
116,3 USD -0,76%+0,12%+0,34%1.18%
196,3 USD -1,19%+1,30%+15,40%1.17%
170,4 USD -1,01%+1,07%+9,95%1.16%
240,4 USD -1,20%+2,22%-8,22%1.15%
130,7 USD +0,81%+0,96%+19,90%1.14%
78,46 USD -0,52%-0,24%+11,89%1.14%
168,7 USD +0,09%+0,99%+2,29%1.13%
270,3 USD +0,83%+2,25%+13,17%1.13%
95,92 USD -0,70%-1,25%+7,21%1.08%
149,8 USD -0,10%+0,57%+12,76%1.07%
708,5 USD +0,28%+1,84%+17,56%1.05%
139 USD +0,55%+0,81%+0,78%1.05%
454,8 USD +0,52%+2,30%+6,64%1.05%
298,2 USD -0,46%+2,22%+14,86%1.02%
467,6 USD +0,27%+2,02%+3,17%1.02%
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Beschrijving

ISIN-code US33739P8894
Totalekostenratio (TER) 0.70%
Activaklassen
Sector
Grootte
Valuta
Beheerder

Kenmerken

Rechtsgebied
Fondsstructuur
Aanmaakdatum
24-08-2016
Dividendbeleid
Factor
Geografisch zwaartepunt

Distributie

Individuele belegger

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

Volume (EUR) 78 M€
Volume 1 maand 78 M€
AuM 3 months 81 M€
AuM 6 months 80 M€
AuM 12 months 92 M€
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