Components AdvisorShares STAR Global Buy-Write ETF - USD

ETF

VEGA

US00768Y7682

Market Closed - Nyse 21:10:00 14/06/2024 BST 5-day change 1st Jan Change
41.67 USD -0.22% Intraday chart for AdvisorShares STAR Global Buy-Write ETF - USD +0.63% +6.67%

Composition of AdvisorShares STAR Global Buy-Write ETF - USD

Weight
442.6 USD +0.22%+4.42%+17.69%3.15%
212.5 USD -0.82%+7.92%+10.37%2.69%
131.9 USD +1.75%+9.09%+166.31%2.32%
183.7 USD -0.09%-0.35%+20.88%1.74%
176.8 USD +0.93%+1.34%+26.56%1.04%
504.2 USD +0.11%+2.27%+42.43%1.03%
878.4 USD -0.55%+3.35%+50.70%0.68%
1,735 USD +3.34%+23.35%+55.43%0.62%
193.8 USD +0.06%-3.09%+13.92%0.60%
178 USD -2.44%+0.30%-28.36%0.55%
109.1 USD -0.85%-3.23%+9.13%0.51%
497.1 USD -0.04%+1.31%-5.57%0.49%
270.7 USD -0.20%-2.87%+3.96%0.46%
166.8 USD +0.23%-0.16%+13.82%0.42%
444.6 USD -0.08%-1.15%+4.25%0.40%
145.5 USD +0.06%-1.05%-7.15%0.38%
346.8 USD -0.30%+6.06%+0.08%0.36%
129.5 USD +0.09%-0.91%+18.77%0.36%
855.7 USD +1.15%+1.19%+29.63%0.35%
991 DKK +1.15%+0.71%+41.96%0.33%
168.6 USD +1.22%-0.49%+8.79%0.31%
152.6 USD -0.18%-2.25%+2.29%0.30%
231.9 USD +1.27%-4.10%-11.86%0.28%
953 EUR -1.40%-0.62%+39.80%0.28%
159.6 USD -0.17%-4.91%+8.29%0.28%
39.24 USD -0.05%-1.36%+16.54%0.28%
67.02 USD +0.48%+1.73%+27.54%0.28%
163.8 USD +0.29%-4.23%-3.55%0.26%
62.55 USD +0.07%-2.13%+6.14%0.26%
669.4 USD +2.47%+4.35%+37.48%0.26%
572 USD -0.03%-1.56%+7.77%0.24%
437 USD -0.65%+0.75%+6.39%0.23%
525.3 USD +14.51%+12.87%-11.95%0.23%
99.97 USD -0.12%-1.55%+10.72%0.22%
253.6 USD -0.05%-1.03%-14.48%0.22%
95.28 CHF +0.19%-2.80%-2.29%0.21%
45.68 USD +0.35%-0.35%-9.58%0.21%
286.7 USD +1.55%-0.59%-18.30%0.21%
215.3 USD -1.14%+4.22%+48.88%0.20%
103.7 USD +0.22%-3.63%-5.81%0.20%
138.1 USD -1.23%+9.70%+31.02%0.20%
155.9 USD +0.12%-3.73%+22.13%0.19%
595.7 USD +0.18%+3.80%-4.69%0.19%
3,116 JPY -0.38%-3.20%+20.29%0.19%
eda94d536186.65JUDvQoayq5PcJ1NJ9zgvFxTMl415W9dJV9Pfn6ka0.ut0AQMRiIGD_XqZYfcBCwYQXNbsC5-feTdlLe5y71uGu92Btvkw_Y_MFjw

Description

US00768Y7682
Total Expense Ratio 2.03%
Asset Class
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
16/09/2012
Dividend Policy

Distribution

Retail investor

AuM evolution ( 30/05/2024 )

AuM (EUR) 55 M€
AuM 1M 53 M€
AuM 3 months 53 M€
AuM 6 months 49 M€
AuM 12 months 47 M€
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