Composition: Amundi Ind.S.MSCI China ESG L.S.UE DR
Ajouter à une liste 0 sélectionné | |||||
|---|---|---|---|---|---|
| 91,95HKD | +0,77% | -3,57% | 6,38% | ||
| 192,20HKD | -0,52% | -10,44% | 5,06% | ||
| 455,20HKD | +1,65% | -24,01% | 4,95% | ||
| 9,140HKD | +0,05% | +18,86% | 4,94% | ||
| 5,580HKD | +1,36% | +25,11% | 4,66% | ||
| 7,445HKD | -0,13% | +18,36% | 4,45% | ||
| 6,225HKD | -0,24% | +7,70% | 1,96% | ||
| 33,46HKD | -0,59% | -47,68% | 1,84% | ||
| 45,02USD | +0,24% | -5,70% | 1,78% | ||
| 18,08HKD | -1,20% | +1,01% | 1,7% | ||
| 158,70HKD | +3,05% | -15,45% | 1,68% | ||
| 4,765HKD | +1,82% | +2,03% | 1,41% | ||
| 18,32USD | +3,33% | +16,24% | 1,41% | ||
| 8,560USD | -1,15% | -51,17% | 1,41% | ||
| 50,65HKD | +0,30% | +61,10% | 1,19% | ||
| 33,18HKD | -1,95% | +21,99% | 1,14% | ||
| 368,50CNY | -1,21% | +0,34% | 1,11% | ||
| 29,96HKD | -2,47% | +223,54% | 1,09% | ||
| 43,50HKD | +1,30% | -7,13% | 1,04% | ||
| 107,50HKD | -0,09% | +40,98% | 0,96% | ||
| 39,35CNY | -0,58% | -6,53% | 0,83% | ||
| 47,82USD | +0,23% | +1,64% | 0,81% | ||
| 18,38HKD | -2,18% | +23,27% | 0,77% | ||
| 9,530HKD | -1,55% | +13,05% | 0,75% | ||
| 48,80HKD | +1,12% | -29,48% | 0,72% | ||
| 28,05CNY | -0,18% | +3,16% | 0,7% | ||
| 36,52HKD | -1,14% | -40,33% | 0,65% | ||
| 36,68HKD | -0,16% | -33,91% | 0,65% | ||
| 66,20HKD | +3,28% | +0,99% | 0,64% | ||
| 5,595HKD | -0,71% | -9,47% | 0,6% | ||
| 8,950HKD | +6,23% | -32,66% | 0,55% | ||
| 13,50USD | +0,22% | -23,69% | 0,53% | ||
| 17,80USD | -1,11% | -12,66% | 0,51% | ||
| 24,88HKD | +1,97% | -12,52% | 0,5% | ||
| 7,720HKD | +1,25% | +3,90% | 0,46% | ||
| 17,43CNY | -3,22% | -17,24% | 0,44% | ||
| 38,86HKD | -1,17% | -20,07% | 0,43% | ||
| 32,76HKD | +3,67% | +73,79% | 0,43% | ||
Description
| Code ISIN | LU2343997487 |
|---|---|
| Frais de gestion (TER) | 0.0035 |
| Catégories d'actif | Actions |
| Zones géographiques | |
| Taille | |
| Devise | |
| Société de gestion | |
| Sous-jacent | MSCI China ESG Selection P-Series 5% Issuer Capped NTR Index - USD |
| Autres ETFs | |
Caractéristiques
| Politique de dividendes | Capitalisation |
|---|---|
| Méthode de réplication | Physique |
| Juridiction | |
| Structure du fonds | |
| Date de création |
09/11/2021
|
| Objectif géographique |
Évolutions des encours - 12/08/2026
| Encours (USD) | 289 M |
|---|---|
| Encours 1 mois | 289 M |
| Encours 3 mois | 289 M |
| Encours 6 mois | 289 M |
| Encours 12 mois | 289 M |
















