Marché Fermé -
Autres places de cotation
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Varia. 5j. | Varia. 1 janv. | ||
184 USD | +1,55% | +3,41% | +4,86% |
Composition du First Trust NASDAQ-100-Technology Sector Index Fund ETF - USD
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Cours
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Varia.
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Varia. 5j.
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Varia. 1 janv.
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Poids
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877,4 USD | +6,18% | +15,14% | +77,16% | -.--% | ||
477,6 USD | +0,87% | +2,70% | -19,95% | -.--% | ||
251 USD | -1,19% | -0,47% | -9,06% | -.--% | ||
1 344 USD | +3,84% | +11,57% | +20,41% | -.--% | ||
93,6 USD | +1,51% | +14,59% | +3,79% | -.--% | ||
925,4 USD | +2,65% | +6,33% | +18,14% | -.--% | ||
334 USD | +2,13% | +3,70% | -7,95% | 2,95% | ||
443,3 USD | +0,43% | -7,85% | +25,24% | 2,66% | ||
114,8 USD | +2,92% | +7,56% | +34,57% | 2,60% | ||
31,88 USD | -9,20% | -6,78% | -36,56% | 2,57% | ||
69,62 USD | +3,17% | +12,06% | +15,44% | 2,55% | ||
406,3 USD | +1,82% | +1,80% | +8,05% | 2,51% | ||
129,3 USD | +2,80% | +13,94% | -11,62% | 2,50% | ||
177,5 USD | +1,27% | +11,15% | +4,12% | 2,48% | ||
636,6 USD | +1,62% | +5,19% | +1,84% | 2,45% | ||
526,8 USD | -2,52% | -1,42% | -3,37% | 2,45% | ||
242,3 USD | -0,48% | +2,75% | +6,57% | 2,43% | ||
66,94 USD | +0,27% | -0,74% | -11,37% | 2,42% | ||
165,7 USD | +1,45% | +5,09% | +14,54% | 2,42% | ||
48,39 USD | +1,26% | +4,60% | -20,15% | 2,42% | ||
304,1 USD | +2,03% | +7,58% | +19,09% | 2,41% | ||
131,4 USD | +4,95% | +9,46% | +8,30% | 2,40% | ||
177 USD | +1,28% | +4,63% | -20,09% | 2,40% | ||
132,1 USD | +3,12% | +3,88% | +33,59% | 2,37% | ||
706,3 USD | +4,95% | +12,43% | +21,50% | 2,36% | ||
282,4 USD | +1,92% | +0,77% | +3,69% | 2,36% | ||
291,4 USD | +0,91% | +4,94% | -1,17% | 2,33% | ||
68,06 USD | +2,53% | +12,11% | -18,52% | 2,24% | ||
242,7 USD | +1,94% | +12,82% | +5,67% | 2,24% | ||
543,7 USD | +2,56% | +6,45% | +5,58% | 2,21% | ||
383,8 USD | +4,83% | +17,20% | -6,13% | 2,20% | ||
172 USD | +10,22% | +11,59% | +23,09% | 1,30% | ||
Description
Code ISIN | US3373451026 |
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Frais de gestion (TER) | 0.56% |
Catégories d'actif | |
Taille | |
Devise | |
Société de gestion | |
Sous-jacent | NASDAQ-100 Technology Sector Total Return Index - USD |
Caractéristiques
Juridiction | |
Structure du fonds | |
Méthode de réplication | |
Modèle de réplication | |
Date de création |
19/04/2006
|
Politique de dividendes | |
Objectif géographique |
Évolutions des encours ( 28/03/2024 )
Encours (EUR) | 3 713 M€ |
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Encours 1 mois | 3 718 M€ |
Encours 3 mois | 3 100 M€ |
Encours 6 mois | 2 711 M€ |
Encours 12 mois | 1 470 M€ |