Components First Trust Germany AlphaDEX UCITS ETF - EUR

ETF

FTGG

IE00BWTNM966

Market Closed - BOERSE MUENCHEN 03:47:12 2024-05-31 pm EDT 5-day change 1st Jan Change
24.5 EUR -.--% Intraday chart for First Trust Germany AlphaDEX UCITS ETF - EUR -0.67% +5.38%

Composition of First Trust Germany AlphaDEX UCITS ETF - EUR

Weight
15.23 EUR -1.32%-3.17%+23.15%-.--%
12.28 EUR +0.20%-0.57%+1.07%-.--%
53.1 EUR +0.85%+5.04%-3.03%-.--%
28.24 EUR +0.66%+2.21%-16.03%-.--%
44.44 EUR +0.05%-2.46%+10.27%-.--%
95.72 EUR -1.03%-4.24%+18.26%-.--%
228.5 EUR -1.04%-2.48%+17.03%-.--%
36.82 EUR -0.70%-3.12%-2.58%-.--%
75.4 EUR +0.20%-0.98%-25.49%-.--%
73.15 EUR +0.41%+0.34%+13.15%5.24%
100.1 EUR -1.09%-1.77%-0.20%4.32%
101.9 EUR -0.78%+0.44%-10.85%3.87%
115 EUR +0.44%-2.91%+2.86%3.87%
93.18 EUR +0.63%+0.37%-7.54%3.82%
22.29 EUR +1.27%+2.44%+2.48%3.71%
66.4 EUR +0.71%+0.56%+6.16%3.62%
50.52 EUR +0.84%+4.01%+9.07%3.58%
5.925 EUR -0.59%+0.85%+5.90%3.38%
48.71 EUR +1.48%+3.66%-27.79%3.21%
105 EUR +2.34%-1.59%+11.29%3.12%
4.526 EUR -0.48%-4.05%-28.30%3.00%
6.422 EUR +1.58%+0.82%-20.20%2.93%
49.39 EUR -0.34%+0.98%-6.25%2.83%
29.28 EUR +0.86%+1.21%+4.31%2.83%
15.54 EUR -1.05%-0.80%+44.42%2.71%
39.17 EUR +0.51%-0.48%+15.14%2.64%
38.66 EUR +0.70%-0.72%-13.81%2.56%
77.65 EUR -.--%+3.74%+4.57%2.42%
2.266 EUR -0.70%+0.27% - 2.33%
48.18 EUR -4.40%-4.21%-20.43%2.31%
65.98 EUR +0.76%+1.38%-20.72%1.99%
457.9 EUR +0.73%-0.91%+22.07%1.86%
20.17 EUR -0.35%-0.25%+9.03%1.81%
35.84 EUR -0.28%-1.92%+7.89%1.69%
70.6 EUR -1.40%-3.22%+20.07%1.43%
81.24 EUR -0.32%+1.78%+2.42%1.28%
176.3 EUR +0.08%-0.59%+3.73%0.95%
43.06 EUR -0.51%-5.22%+11.35%0.89%
39.18 EUR +0.31%+0.46%+3.21%0.74%
27.91 EUR -1.13%-6.53%+11.60%0.53%
01670826572a710d6703.082u5QpbDaEkC8-VhnD7jIYOKNQJ7lVzAREnsxdjsGs.lqz3qk0zOdZTPafX4Tqp5rJJRJNKiDYgLFpW2nk0gT6doeXVOi5OjGBClg

Description

IE00BWTNM966
Total Expense Ratio 0.65%
Asset Class
Sector
Size
Currency
Provider
Underlying NASDAQ AlphaDEX Germany Net Total Return Index - EUR

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2016-03-30
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 7 M€
AuM 1M 7 M€
AuM 3 months 6 M€
AuM 6 months 6 M€
AuM 12 months 7 M€
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