Samenstelling Nomura NEXT FUNDS Ibovespa Linked ETF - JPY

ETF

1325

JP3046800003

Vertraagde tijd Japan Exchange 03:02:35 26-04-2024 Variatie 5 dagen Verschil t.o.v. 1 jan (%)
239,9 JPY -0,70% Intraday-grafiek van Nomura NEXT FUNDS Ibovespa Linked ETF - JPY +1,35% -3,62%

Samenstelling van de Nomura NEXT FUNDS Ibovespa Linked ETF - JPY

Gewicht
62,22 BRL -1,75%-0,19%-19,40%15.28%
42,22 BRL +1,73%+5,95%+13,37%6.57%
31,68 BRL -0,56%-0,16%-6,74%6.49%
13,66 BRL -0,07%-0,80%-20,07%4.98%
10,83 BRL -1,01%-2,78%-25,57%3.73%
12,02 BRL +0,59%+0,50%-12,45%3.39%
27,38 BRL -0,04%-1,97%-1,14%2.69%
48,74 BRL -1,58%-4,26%-23,36%2.66%
9,52 BRL 0,00%-0,21%-8,20%2.21%
38,67 BRL +1,15%+0,18%+4,77%2.21%
3,62 BRL -0,55%+3,43%-18,65%1.68%
59,9 BRL -1,07%-1,40%+7,68%1.54%
32,6 BRL -0,46%+0,22%-13,32%1.48%
30,87 BRL -1,18%-0,61%-13,58%1.43%
22,09 BRL -0,14%-1,52%-11,32%1.40%
24,95 BRL +2,38%+6,99%-13,25%1.40%
15,51 BRL -0,51%+0,65%-10,96%1.30%
18,23 BRL -7,08%-2,88%-7,93%1.30%
24,95 BRL +0,69%+0,20%-15,14%1.21%
49,39 BRL +1,98%+0,30%+7,25%1.17%
20,6 BRL -0,24%-2,37%-10,24%1.12%
12,66 BRL +1,28%+3,60%-6,98%1.11%
14,36 BRL -1,37%-0,07%-25,83%1.00%
22,78 BRL -1,68%-5,63%+0,09%0.94%
31,99 BRL -2,88%-2,02%-4,93%0.91%
27,15 BRL -5,66%-4,40%-24,06%0.86%
47,69 BRL -2,27%-2,13%-10,76%0.84%
82,57 BRL -0,27%-0,24%+9,55%0.78%
12,61 BRL -2,85%-3,45%+9,84%0.77%
27,96 BRL -3,22%+0,72%-17,01%0.75%
17,27 BRL +0,64%+1,29%+25,05%0.72%
13,31 BRL -1,84%+0,99%-1,63%0.71%
12,27 BRL -2,39%-3,76%-13,47%0.70%
26,31 BRL -1,13%-0,90%-0,75%0.64%
1,39 BRL -9,15%-7,33%-35,65%0.62%
16,52 BRL +2,93%+2,67%-2,19%0.59%
42,03 BRL -1,62%-1,41%-10,54%0.54%
0,55 BRL +3,77%+5,77%-39,56%0.51%
9 BRL -4,60%-2,60%-13,13%0.50%
39,26 BRL -2,29%-2,80%-13,39%0.49%
17,42 BRL +0,81%+1,63%-2,84%0.48%
32,15 BRL +2,52%+1,01%+43,59%0.47%
35,05 BRL -0,88%-1,57%-8,68%0.43%
11,19 BRL -0,09%-0,71%-10,12%0.42%
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Beschrijving

ISIN-code JP3046800003
Totalekostenratio (TER) 0.95%
Activaklassen
Sector
Grootte
Valuta
Beheerder
Onderliggende waarde BM&FBOVESPA Ibovespa Total Return Index - BRL

Kenmerken

Rechtsgebied
Fondsstructuur
Methode van replicatie
Replicatiemodel
Aanmaakdatum
18-07-2008
Dividendbeleid
Geografisch zwaartepunt

Distributie

Individuele belegger

Veranderingen in de stand van zaken ( 29-03-2024 )

Volume (EUR) 15 M€
Volume 1 maand 15 M€
AuM 3 months 15 M€
AuM 6 months 14 M€
AuM 12 months 12 M€
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