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

ETF

JPNE

LU1646360542

Delayed Börse Stuttgart 15:00:38 13/06/2024 BST 5-day change 1st Jan Change
28.44 EUR -0.79% Intraday chart for AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - EUR HEDGED (D) -0.93% +10.02%

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

Weight
18,765 JPY +0.08%-1.21%+6.47%5.00%
13,265 JPY +1.22%-2.28%-1.08%4.87%
10,000 JPY -1.43%-1.57%+45.35%4.85%
5,472 JPY -2.22%+0.87%+55.06%4.81%
4,428 JPY -0.09%+1.77%+6.78%4.78%
23,155 JPY +2.59%+2.25%+0.74%4.09%
5,533 JPY +1.54%+1.49%+15.34%3.70%
4,400 JPY +0.50%-3.06%-16.21%3.58%
4,291 JPY +0.30%+0.12%-4.35%3.57%
16,915 JPY -0.73%+3.71%+66.32%3.42%
1,506 JPY -3.86%-5.04%-10.65%3.21%
3,092 JPY +4.62%+2.62%+21.30%3.11%
3,437 JPY -1.12%-1.91%+9.08%2.98%
4,083 JPY -1.26%-1.02%-9.04%2.78%
5,721 JPY -1.04%-1.17%+5.17%2.70%
5,141 JPY -0.29%-1.36%+0.84%2.63%
2,443 JPY +1.22%+2.43%+14.83%2.52%
1,959 JPY -1.78%+0.72%+11.34%2.40%
8,744 JPY +0.16%+5.35%+30.18%2.28%
6,073 JPY +0.81%+0.25%+3.11%2.26%
2,682 JPY -1.29%-1.63%-29.22%2.21%
2,686 JPY -0.26%-0.26%+13.33%2.02%
2,126 JPY -1.55%-4.60%-15.52%1.93%
2,560 JPY -1.73%-2.40%-2.27%1.83%
1,825 JPY -1.00%-0.14%+5.69%1.80%
5,148 JPY +1.14%-1.13%-21.80%1.74%
802.7 JPY -0.74%-3.94%+27.82%1.62%
3,859 JPY +1.85%+4.02%+21.54%1.48%
12,455 JPY -0.60%+6.05%+18.06%1.48%
4,210 JPY -1.61%+4.80%-9.77%1.38%
2,096 JPY -0.57%-5.09%-16.04%1.36%
6,599 JPY -1.84%-0.75%+13.00%1.34%
3,279 JPY -3.05%+0.18%+42.65%1.31%
1,459 JPY -0.48%-4.61%-27.92%1.30%
2,218 JPY -0.29%+1.67%+4.52%1.16%
3,664 JPY +0.60%-0.05%+12.50%0.90%
6,310 JPY +1.33%+0.90%-19.26%0.82%
1,648 JPY -1.61%-6.26%-36.75%0.81%
4,193 JPY +0.58%+1.04%+2.24%0.75%
12,305 JPY -0.04%+3.62%+47.37%0.60%
2,896 JPY -0.79%-2.59%-5.36%0.52%
2,620 JPY -4.33%-2.02%+16.96%0.49%
1,218 JPY -0.98%-7.87%+28.28%0.48%
9,573 JPY -0.87%-1.25%-5.73%0.43%
366.5 JPY -0.60%-2.50%-26.66%0.42%
4,756 JPY -0.83%-1.86%+12.01%0.26%
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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
16/09/2019
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/05/2024 )

AuM (EUR) 2 M€
AuM 1M 1 M€
AuM 3 months 2 M€
AuM 6 months 1 M€
AuM 12 months 2 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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