Components iShares FTSE MIB UCITS ETF EUR (Dist) - EUR

ETF

2B7V

IE00B1XNH568

Delayed Börse Stuttgart 07:45:29 29/04/2024 BST 5-day change 1st Jan Change
20.78 EUR +0.75% Intraday chart for iShares FTSE MIB UCITS ETF EUR (Dist) - EUR +2.28% +13.36%

Composition of iShares FTSE MIB UCITS ETF EUR (Dist) - EUR

Weight
6.178 EUR +0.78%+2.25%-8.10%11.51%
23.06 EUR +0.07%-0.39%+8.96%9.98%
35.62 EUR +0.39%+4.32%+44.94%9.32%
3.57 EUR +0.56%+4.10%+35.01%9.06%
422.5 USD +2.49%+3.38%+24.83%7.95%
15.29 EUR +0.21%-0.22%-0.27%7.26%
38.76 EUR +0.26%+5.72%-14.26%6.54%
22.89 EUR +0.39%+0.57%+19.86%5.24%
64.52 EUR -0.62%-1.07%+15.91%2.51%
51.18 EUR 0.00%+3.23%+24.31%2.48%
7.502 EUR +0.37%-0.21%-0.69%2.35%
4.324 EUR +0.35%+0.39%-7.13%2.33%
14.28 EUR +0.56%+0.74%+5.08%1.82%
16.1 EUR +0.75%-8.86%+2.25%1.65%
13.42 EUR +0.11%-1.43%+19.77%1.59%
6.254 EUR +0.61%+6.11%+30.77%1.44%
5.564 EUR +1.42%+1.72%-24.82%1.35%
21.84 EUR +0.37%+0.46%+46.30%1.30%
9.4 EUR +0.13%-1.41%-7.98%1.13%
49.2 EUR +0.20%-3.72%+0.76%1.04%
11.86 EUR +0.47%+1.07%+15.38%1.03%
10.01 EUR +0.25%+0.25%-12.58%0.90%
31.56 EUR +0.16%-0.10%+0.64%0.89%
41.34 EUR +0.15%+0.83%-11.76%0.82%
0.2242 EUR +0.72%+0.18%-23.73%0.71%
4.834 EUR +1.05%+7.02%+59.65%0.71%
96.8 EUR -0.31%+0.94%+9.26%0.66%
1.834 EUR +2.46%+4.68%-1.34%0.63%
24.63 EUR +0.08%+1.53%+4.19%0.56%
5.215 EUR +0.38%+1.56%+0.68%0.56%
6 EUR +0.30%+1.01%+21.78%0.53%
4.573 EUR +1.46%+6.48%+49.97%0.51%
3.392 EUR +0.83%+4.05%+14.20%0.50%
8.355 EUR -0.24%+1.21%+62.05%0.49%
10.08 EUR +0.50%+3.07%+18.00%0.45%
95.58 EUR +0.72%+0.74%+2.57%0.44%
36.38 EUR +0.17%+2.13%+8.15%0.41%
12.04 EUR +1.26%+1.35%+47.74%0.36%
25.22 EUR +0.88%+4.91%-12.61%0.35%
2.194 EUR +0.32%-1.17%+49.39%0.35%
459511.BXPcSlzDUkcGzAnIF4OL3st_TSlXawRJvvUyE0HJZwI.SxGTM2yAO35VrVOLSOXa84k6LG0mIG0I37BeWxjkCmc8OZ0GN48-amygSA

ETF Ratings

Description

IE00B1XNH568
Total Expense Ratio 0.35%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE MIB Net Total Return Index - EUR

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
05/07/2007
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 184 M€
AuM 1M 136 M€
AuM 3 months 120 M€
AuM 6 months 124 M€
AuM 12 months 124 M€
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  4. Components iShares FTSE MIB UCITS ETF EUR (Dist) - EUR