Samenstelling WisdomTree International Multifactor Fund ETF - USD

ETF

DWMF

US97717Y7748

Beurs gesloten - Nyse 22:10:00 07-06-2024 Variatie 5 dagen Verschil t.o.v. 1 jan (%)
26,98 USD -0,43% Intraday-grafiek van WisdomTree International Multifactor Fund ETF - USD -0,24% +6,68%

Samenstelling van de WisdomTree International Multifactor Fund ETF - USD

Gewicht
64,51 EUR -0,66%-2,17%+4,69%1.47%
465,8 GBX +0,66%-3,17%-0,04%1.15%
94,22 CHF -0,77%+1,64%+11,05%1.08%
874 GBX +0,55%-1,49%-17,50%1.07%
144,2 DKK -0,03%+1,98%-1,91%1.04%
156,4 USD +1,01%+3,93%+2,37%0.99%
1.622 GBX -0,43%+1,42%+11,76%0.97%
34,46 AUD -0,23%-0,75%-4,67%0.96%
89,66 EUR -1,61%-0,51%-0,12%0.94%
476,7 CHF -0,60%+0,49%+8,35%0.92%
239,8 CHF -1,17%+3,27%-1,96%0.92%
984,2 DKK +0,02%+6,76%+41,30%0.89%
14,37 EUR -4,20%-7,53%-9,79%0.89%
22,54 EUR -0,20%-0,40%+3,68%0.88%
120,4 CHF -0,66%-0,41%+3,80%0.86%
86,5 EUR -1,42%-0,17%-13,17%0.86%
298 NOK -0,03%-1,91%-7,48%0.85%
14,7 EUR +0,72%-0,84%+9,29%0.84%
10,02 EUR -0,40%-8,25%-2,80%0.84%
694,6 GBX -0,01%+0,09%+9,19%0.84%
35,63 SGD +0,31%-1,22%+17,31%0.79%
37,84 EUR +0,53%+2,08%+16,51%0.79%
1.943 GBX -0,31%-0,87%+8,55%0.77%
1.050 GBX -0,99%+2,99%-10,41%0.77%
101,8 EUR -1,50%-2,86%+21,19%0.76%
2.346 JPY +0,95%-5,56%+23,18%0.76%
74,58 EUR -0,57%+0,20%+15,16%0.75%
33,47 EUR -3,38%-7,59%-1,82%0.74%
171 EUR -1,04%+2,12%+27,70%0.74%
16,82 USD +1,26%-0,65%+61,11%0.74%
232,8 EUR -0,72%+0,09%+7,72%0.73%
502,8 CHF -0,15%+0,60%-0,59%0.73%
93,36 EUR -6,27%-9,41%-3,73%0.73%
32,86 EUR -0,96%-0,60%+0,06%0.72%
459,8 EUR -0,48%+0,17%+22,34%0.72%
9,6 SGD -0,72%-0,62%-2,34%0.72%
2.206 GBX -1,50%+1,80%+2,84%0.70%
80,73 CHF +0,94%+2,42%+21,96%0.70%
3,501 EUR -0,26%+1,21%+12,28%0.67%
18,58 AUD +0,92%+4,38%+25,46%0.67%
4.366 CHF +1,21%+3,68%+25,40%0.67%
3.076 JPY +0,42%+3,20%+10,01%0.67%
59,4 EUR -1,03%+0,27%+1,23%0.67%
23,64 EUR -0,63%-0,04%+23,68%0.66%
149,4 EUR -0,07%+2,43%+16,12%0.66%
3,79 AUD +0,26%+1,88%+6,46%0.65%
16,53 AUD +0,85%+3,90%+19,35%0.65%
19,87 EUR -0,45%-4,29%-13,76%0.65%
28,2 EUR +0,43%-1,81%+8,40%0.64%
1.403 GBX +0,59%+0,57%+26,38%0.64%
7e31f70d48faf31e4ec664713a6b1._KNcGrqaYO2uV-VVCCR5pSyr7a9xb65wUitfEMlyShA.mtMeT9SjB6bgYKQEaWk0523tg_A6JpYVYk0eRJElHSW61hhX8akEt-VvpA

Beschrijving

ISIN-code US97717Y7748
Totalekostenratio (TER) 0.38%
Activaklassen
Sector
Grootte
Valuta
Beheerder

Kenmerken

Rechtsgebied
Fondsstructuur
Aanmaakdatum
10-08-2018
Dividendbeleid
Factor
Geografisch zwaartepunt

Distributie

Individuele belegger

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

Volume (EUR) 35 M€
Volume 1 maand 37 M€
AuM 3 months 38 M€
AuM 6 months 39 M€
AuM 12 months 37 M€
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