Components AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - EUR HEDGED (D)

ETF

JPNE

LU1646360542

Market Closed - Börse Stuttgart 03:56:29 2024-05-16 pm EDT 5-day change 1st Jan Change
27.94 EUR -0.65% Intraday chart for AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - EUR HEDGED (D) +1.77% +7.94%

Composition of AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - EUR HEDGED (D)

Weight
19,045 JPY -1.27%+5.40%+7.94%5.19%
12,980 JPY -0.27%+9.35%-3.21%4.86%
9,519 JPY +1.27%+6.79%+38.34%4.65%
4,916 JPY -0.57%-2.42%+39.27%4.43%
4,582 JPY -0.61%-0.99%+10.49%4.41%
5,502 JPY -0.27%+7.79%+14.74%4.29%
24,950 JPY -1.07%+9.33%+8.57%3.93%
4,572 JPY +0.15%+5.59%-12.95%3.56%
4,329 JPY +0.21%+0.89%-3.68%3.46%
1,494 JPY -1.26%-3.05%-11.39%3.34%
14,300 JPY -0.07%+0.92%+40.56%3.31%
2,730 JPY +2.34%+9.25%+7.30%3.30%
3,305 JPY +0.43%+0.76%+4.86%2.96%
4,004 JPY +0.35%-1.02%-10.98%2.77%
5,097 JPY -0.22%+3.67%-0.14%2.58%
2,767 JPY +0.51%-5.09%-27.18%2.48%
2,358 JPY +1.09%-0.28%+10.76%2.46%
1,916 JPY -0.65%+1.70%+8.87%2.46%
6,050 JPY -1.27%+5.09%+11.25%2.44%
7,229 JPY -0.51%+1.22%+7.59%2.23%
6,314 JPY -2.46%-3.00%+7.10%2.18%
2,254 JPY -0.29%-0.95%-10.49%1.97%
2,624 JPY -1.13%-0.85%+10.63%1.97%
2,752 JPY +2.10%+1.66%+4.95%1.91%
5,426 JPY -1.56%-9.68%-17.50%1.74%
1,809 JPY +0.42%-0.99%+4.62%1.72%
781.8 JPY -1.04%-1.09%+24.52%1.71%
3,602 JPY +0.61%+5.76%+13.39%1.63%
12,185 JPY -1.18%-3.56%+15.50%1.42%
2,288 JPY +0.55%+1.17%-8.33%1.38%
1,608 JPY +2.19%+0.25%-20.68%1.32%
4,405 JPY -0.61%-4.26%-5.59%1.28%
3,092 JPY -0.23%+0.62%+34.47%1.26%
6,903 JPY +0.41%+1.11%+18.22%1.25%
2,350 JPY -1.78%-4.57%+10.69%1.06%
5,179 JPY -0.63%-4.25%-33.68%0.84%
3,458 JPY -1.23%-4.61%+6.14%0.83%
1,736 JPY +1.46%-2.42%-33.45%0.81%
4,336 JPY 0.00%0.00%+7.86%0.74%
4,208 JPY -0.38%+3.70%+2.51%0.74%
10,960 JPY -0.41%+1.39%+31.20%0.58%
3,001 JPY -0.03%+1.32%-1.99%0.51%
2,466 JPY +0.96%-6.29%+10.04%0.50%
1,112 JPY -0.27%-3.05%+17.06%0.47%
393.4 JPY +0.72%+8.63%-21.17%0.43%
9,960 JPY -0.70%-5.94%-2.00%0.43%
5,006 JPY -1.79%-1.46%+17.76%0.21%
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Description

LU1646360542
Total Expense Ratio 0.20%
Asset Class
Sector
Size
Currency
Provider
Underlying 100% MSCI JAPAN SRI FILTERED PAB 100% HEDGED TO EUR Index - EUR

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2019-09-15
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 1 M€
AuM 1M 1 M€
AuM 3 months 2 M€
AuM 6 months 1 M€
AuM 12 months 1 M€
  1. Stock Market
  2. ETF
  3. JPNE ETF
  4. Components AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - EUR HEDGED (D)
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