Composition First Trust US Equity Opportunities ETF - USD

ETF

FPX

US3369201039

Temps Différé Nyse 19:20:41 03/05/2024 Varia. 5j. Varia. 1 janv.
101,5 USD +1,23% Graphique intraday de First Trust US Equity Opportunities ETF - USD +1,85% +5,83%

Composition du First Trust US Equity Opportunities ETF - USD

Poids
62,23 USD +2,12%+2,56%+8,01%7,96%
37,6 USD +2,12%+4,61%+12,79%6,64%
69,9 USD +1,94%+1,10%+13,38%6,51%
946,9 USD +0,99%+7,27%+7,87%6,38%
158,5 USD +0,49%+0,28%-20,31%3,54%
92,4 USD +0,69%+0,13%+3,19%3,28%
40,8 USD +2,05%+1,90%-20,21%3,10%
113,5 USD -0,70%-14,22%+14,60%3,04%
69,41 USD -1,27%-6,67%-10,14%2,18%
195,9 USD +5,24%+3,98%+67,56%2,18%
237,7 USD +3,83%+7,12%+5,14%2,04%
70,22 USD +0,30%+3,23%-15,89%2,04%
41,74 USD -3,00%-3,06%+18,61%1,98%
55 USD +1,07%-0,08%-11,98%1,54%
19,22 USD +0,55%+1,56%-11,03%1,50%
58,7 USD +1,44%+2,35%+45,17%1,40%
53,23 USD +2,88%-1,33%+2,09%1,39%
43,98 USD +0,79%+0,33%+1,96%1,32%
94,16 USD +2,16%+0,77%+96,15%1,29%
79,5 USD +2,15%-8,00%+2,61%1,28%
308,4 USD +1,61%+1,47%+20,84%1,20%
49,21 USD +1,93%+1,44%-19,00%1,13%
8,085 USD +6,10%-8,08%-33,04%1,00%
104,6 USD +1,09%-2,90%+20,91%0,93%
13,13 USD +3,14%+6,28%-9,36%0,92%
20,89 USD +1,80%-4,07%+2,40%0,91%
41,68 USD +0,31%-0,28%-21,71%0,87%
57,8 USD +1,09%+3,47%+3,16%0,86%
39,64 USD -1,76%-3,93%+14,62%0,82%
197,8 USD +4,81%+5,09%+18,13%0,72%
144 USD +1,77%-0,53%+21,53%0,71%
33,08 USD +0,03%+1,24%-9,50%0,70%
221,7 USD -3,14%-6,68%+26,81%0,67%
9,985 USD +1,58%+10,51%-57,42%0,67%
78,46 USD -1,62%-2,21%+18,39%0,64%
23,11 USD +2,48%+2,31%+34,19%0,64%
65,9 USD +2,10%+8,76%+5,16%0,63%
191,3 USD +7,22%+4,40%+7,68%0,62%
40,52 USD +0,78%+3,06%-12,55%0,59%
46,62 USD +1,96%+1,06%+21,88%0,59%
29,38 USD +0,19%-0,07%+9,54%0,57%
73,44 USD -17,46%-17,05%-12,32%0,56%
29,02 USD +3,20%+8,82%+34,40%0,54%
51,83 USD +1,61%+3,05%+1,77%0,49%
39,08 USD +4,65%+8,91%-14,22%0,48%
74,82 USD +3,24%+1,33%+87,70%0,47%
29,88 USD -2,02%+2,23%-31,09%0,45%
16,04 USD -0,03%+0,63%+8,60%0,43%
29,82 USD -1,67%-6,71%+4,83%0,42%
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Ratings de l'ETF

Description

Code ISIN US3369201039
Frais de gestion (TER) 0.61%
Catégories d'actif
Secteur
Taille
Devise
Société de gestion
Sous-jacent IPOX U.S. 100 Total Return Index - USD

Caractéristiques

Juridiction
Structure du fonds
Méthode de réplication
Modèle de réplication
Date de création
12/04/2006
Politique de dividendes
Objectif géographique

Distribution

Investisseur Particulier

Évolutions des encours ( 28/03/2024 )

Encours (EUR) 726 M€
Encours 1 mois 719 M€
Encours 3 mois 664 M€
Encours 6 mois 672 M€
Encours 12 mois 721 M€
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