13.99 msci acwi nr usd -3.01 -9.62 -1.93 10.5 category (wb) -3.05 -9.96 -4.14 7.94 +/- msci acwi nr usd 0.83 0.35 0.9 3.49 +/- category (wb) 0.87 0.69 3.11 6.05 rank in category 28 48...
MSCI ACWI Ex USA NR USD 上市日期 2008/03/26 最近派息 內容 股息:USD0.767 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51.080 - 54.790 2個月51.080 - 55.800 3個月51.080 - 55.800 52週49.775 - 57.955 ...
MSCI ACWI NR USD -3.01 -9.62 -1.93 10.5 Category (WB) -3.05 -9.96 -4.14 7.94 +/- MSCI ACWI NR USD 0.85 0.47 1.04 3.78 +/- Category (WB) 0.89 0.81 3.25 6.34 Rank in Category 27 45 12 7 Updated 10/31/23 Sponsored Brokers 1 Interactive Brokers Account Minimum $0 Fee $0 Low co...
MSCI ACWI with Developed Markets 100% hedged to EUR Index Valoren-Nr. 29267355 ISIN IE00BYVDRD78 Bloomberg Ticker ACEUKD SW Reuters Id ACEUKD S Wertentwicklung und Preise Percentage growth per 3. April 2024 Kumuliert EUR(%)CHF(%)USD(%) ...
Valoren Nr. 48455594 WKN A2PMGY Fondstyp offen UCITS V Ja Währung der Anteilsklasse USD Abschluss Rechnungsjahr 31. Dezember Replikationsmethode Physisch (Voll repliziert) Indexname MSCI ACWI SRI Low Carbon Select 5% Issuer Capped Total Return Net USD ...
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 Low Carbon Target NR USD 上市日期 2014/12/08 最近派息 内容 股息:USD2.263 除净日 2024-12-17 派息日期 2024-12-20 即时串流报价: 过往表现 时期波幅升跌(%)2 1个月189.510 - 202.270 2个月189.510 - 204.299 3个月189.510 - 204.299 ...
MSCI ACWI NR USD -3.01 -9.62 -1.93 10.5 Category (WB) -3.05 -9.96 -4.14 7.94 +/- MSCI ACWI NR USD 0.85 0.41 1.04 3.78 +/- Category (WB) 0.89 0.75 3.25 6.34 Rank in Category 27 46 12 7 Updated 10/31/23 Sponsored Brokers 1 Interactive Brokers Account Minimum $0 Fee $0 Low co...
Valoren Nr. 38548095 1M 2.40% per 03.04.2024 3M 9.58% per 03.04.2024 1 Tag Veränderung 0.00% per 03.04.2024 1 Jahr Veränderung 23.58% per 03.04.2024 YTD 9.58% per 03.04.2024 Anteilsklasse UBS (Irl) ETF plc ...
Valoren Nr. 48455495 1M 2,25% per 03.04.2024 3M 8,32% per 03.04.2024 1 Tag Veränderung 0,00% per 03.04.2024 1 Jahr Veränderung 24,09% per 03.04.2024 YTD 8,32% per 03.04.2024 Anteilsklasse UBS (Irl) ETF plc ...