2.76% 淨開支比率 0.32% 每股淨值 N/A 每股淨值更新日期 量比 /委比(延遲) 交易所 NASD 振幅 平均成交量(3個月) 92.11萬 類別 Foreign Large Blend 發行商 iShares 相關指數 MSCI ACWI Ex USA NR USD 上市日期 2008/03/26 最近派息 內容 股息:USD0.784 ...
Valoren Nr. 48525711 1M 2,01% per 03.04.2024 3M 8,74% per 03.04.2024 1 Tag Veränderung 0,00% per 03.04.2024 1 Jahr Veränderung 24,98% per 03.04.2024 YTD 8,74% per 03.04.2024 Anteilsklasse UBS (Irl) ETF plc – ...
ACWI clients would not have to worry about double counting as Malaysia was represented at its appropriate market cap weight. The index of Singapore represented the continuation of the Singapore/Malaysia index and therefore retains its base date of December 31, 1969. Developed and emerging market ...
Benchmark: MSCI ACWI Ex USA IMI NR USD More... Fund Details Fund Type International Equity Issuer iShares Inception 10/18/2012 Expense Ratio 0.07% AUM $38.91B Returns Sorry, this data cannot be displayed at the moment. Holdings Breakdown Sorry, this data cannot be displayed at the moment....
纳斯达克 恒生指数 20,414 ▲ 5482.76% 道琼斯 标准普尔 港汇 7.7741 0.0708% ▼ 登入 注册 主页 美股行情 市场动态 分析 ETF 新闻 详细报价 最近查詢 图表分析 互动图表 同业 新闻 派息 公司资料 (IXUS.US) (美元) ETF 升跌 成交量 买价(延迟)
Valoren Nr. 48455594 1M 2,01% per 03.04.2024 3M 8,74% per 03.04.2024 1 Tag Veränderung 0,00% per 03.04.2024 1 Jahr Veränderung 24,98% per 03.04.2024 YTD 8,74% per 03.04.2024 Anteilsklasse UBS (Irl) ETF plc – ...
ACWI clients would not have to worry about double counting as Malaysia was represented at its appropriate market cap weight. The index of Singapore represented the continuation of the Singapore/Malaysia index and therefore retains its base date of December 31, 1969. Developed and emerging market ...
MSCI ACWI Sustainable Impact NR USD 上市日期 2016/04/20 最近派息 內容 股息:USD0.591 除淨日 2024-12-17 派息日期 2024-12-20 即時串流報價: 過往表現 時期波幅升跌(%)2 1個月71.020 - 78.669 2個月71.020 - 82.087 3個月71.020 - 85.860
恒生指数 20,098 ▲ 2151.08% 道琼斯 标准普尔 港汇 7.7667 0.0283% ▼ 登入 注册 主页 美股行情 市场动态 分析 ETF 新闻 详细报价 最近查詢 图表分析 互动图表 同业 新闻 派息 公司资料 (CRBN.US) (美元) ETF 升跌 成交量 买价(延迟) 前收市价/开市 ...
UBS (Irl) Fund Solutions plc – MSCI ACWI SF UCITS ETFISINIE00BYM11J43 Share class (USD) A-UKdis (USD) A-acc (hedged to USD) A-acc (hedged to EUR) A-acc (hedged to CHF) A-acc (hedged to EUR) A-UKdis Valoren Nr. 28650238 1M 2...