Samenstelling Vanguard FTSE Emerging Markets UCITS ETF Accumulating - USD

ETF

VFEG

IE00BK5BR733

Beurs gesloten - London S.E. 17:35:07 28-06-2024 Variatie 5 dagen Verschil t.o.v. 1 jan (%)
48 GBX +0,69% Intraday-grafiek van Vanguard FTSE Emerging Markets UCITS ETF Accumulating - USD -0,13% +9,14%

Samenstelling van de Vanguard FTSE Emerging Markets UCITS ETF Accumulating - USD

Gewicht
966 TWD +0,63%-0,41%+62,90%6.92%
372,4 HKD -0,53%-2,36%+26,84%3.50%
3.131 INR +2,28%+7,65%+21,12%1.56%
1.684 INR -0,73%+1,08%-1,49%1.44%
133 USD +0,77%-7,58%-9,13%1.32%
1.567 INR -0,42%+2,22%+1,55%0.97%
62,22 BRL -1,75%+2,29%-19,40%0.90%
111,1 HKD -2,29%-4,39%+35,65%0.84%
5,77 HKD +0,87%+1,05%+24,09%0.83%
1.400 TWD +0,36%-6,04%+37,93%0.73%
3.904 INR -0,76%+2,45%+2,92%0.69%
81,5 SAR +0,49%+3,16%-5,78%0.68%
38,05 BRL +1,04%+3,62%+2,18%0.64%
214 TWD +0,71%+0,94%+104,78%0.61%
4,64 HKD +1,53%+2,65%+21,47%0.57%
32,41 BRL -0,09%+1,66%-4,59%0.51%
9.925 IDR +1,79%+3,39%+5,59%0.50%
3.567 ZAR +0,28%-0,61%+14,04%0.47%
3,85 HKD +1,32%+1,32%+29,19%0.47%
1.266 INR -1,80%+2,33%+14,76%0.45%
36,7 SAR +2,23%+4,41%-5,05%0.45%
1.445 INR -1,80%+2,27%+39,94%0.44%
16,48 HKD -0,36%-9,35%+5,64%0.44%
142,6 MXN -0,15%-6,09%-16,51%0.43%
3.549 INR -0,44%+0,46%+0,63%0.42%
2.475 INR +0,51%+1,39%-7,06%0.42%
27,7 SAR 0,00%0,00%-16,06%0.40%
232 HKD +0,52%-1,78%+8,21%0.40%
4.600 IDR +3,14%+3,60%-19,65%0.39%
196,8 MXN +1,03%+1,66%-10,94%0.35%
387,5 TWD +0,26%+1,17%+23,60%0.33%
0,862 KWD +1,41%+0,23%+1,25%0.33%
62,26 MXN +0,27%+0,60%-13,01%0.32%
7.116 INR -0,71%-0,26%-2,90%0.32%
0,71 KWD +0,57%-0,56%+6,59%0.32%
1.467 CNY -1,55%-0,25%-14,98%0.32%
15,57 MXN +0,65%+1,83%-1,08%0.32%
55,7 TWD -1,24%-3,47%+5,89%0.30%
73,5 SAR -0,14%0,00%-11,98%0.30%
76,9 ZAR +4,78%+0,17%+4,61%0.30%
2.867 INR -0,77%+0,94%+65,76%0.29%
14,61 QAR +0,41%+2,89%-11,62%0.29%
312 TWD +2,30%-2,35%+38,98%0.29%
78c83b5e34191.rLhAecJQ_SVAICb0NYW3anwzmC2rW7Awtk4jU1zm-eo.6NEmOqVlnBMEWVDCVLeBOgxSrXniHOBRjwF1ZSiTn6nr_Qk29GKIThpBSQ

ETF Ratings

Beschrijving

ISIN-code IE00BK5BR733
Totalekostenratio (TER) 0.22%
Activaklassen Actions
Sector
Grootte
Valuta
Beheerder
Onderliggende waarde FTSE Emerging Net Total Return Index - USD

Kenmerken

Dividendbeleid Capitalisation
Methode van replicatie Physique
Rechtsgebied
Replicatiemodel
Aanmaakdatum
24-09-2019
Geografisch zwaartepunt

Distributie

Individuele belegger

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

Volume (EUR) 493 M€
Volume 1 maand 470 M€
AuM 3 months 425 M€
AuM 6 months 367 M€
AuM 12 months 322 M€
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