Components Vanguard ESG Global All Cap UCITS ETF - Accumulating - USD

ETF

V3AB

IE00BNG8L278

Delayed London S.E. 14:14:02 16/05/2024 BST 5-day change 1st Jan Change
5.995 USD +0.23% Intraday chart for Vanguard ESG Global All Cap UCITS ETF - Accumulating - USD +2.59% +8.65%

Composition of Vanguard ESG Global All Cap UCITS ETF - Accumulating - USD

Weight
190.7 USD +0.51%+3.82%-1.46%4.66%
424.3 USD +0.29%+3.05%+12.51%4.60%
187.1 USD +0.58%-1.07%+22.41%2.25%
948.3 USD +0.21%+4.67%+91.09%1.93%
173.1 USD +0.33%+1.85%+23.49%1.37%
476.4 USD -1.07%+1.89%+36.04%1.29%
172.8 USD -0.66%-0.42%-29.98%1.13%
784.1 USD -0.37%+1.55%+35.01%0.81%
202.7 USD +0.30%+3.30%+18.82%0.80%
520.1 USD +0.50%+2.85%-1.69%0.80%
1,430 USD -0.41%+8.36%+28.66%0.79%
839 TWD +1.70%+4.61%+41.48%0.76%
281.9 USD +0.13%+1.55%+8.12%0.67%
461.6 USD +0.78%+0.71%+7.38%0.58%
346.2 USD -0.71%+2.90%+0.61%0.57%
166.8 USD +0.17%+0.87%+13.63%0.56%
915.8 DKK -0.15%+0.15%+30.54%0.53%
95.58 CHF +0.04%+0.44%-1.96%0.50%
861.8 EUR +1.27%+1.59%+26.36%0.49%
78,300 KRW -0.13%-3.69%-0.25%0.48%
790.6 USD +0.45%+3.10%+19.23%0.48%
131.3 USD -0.32%+1.68%+20.83%0.45%
483.2 USD -0.43%-0.56%-18.65%0.45%
162.9 USD -0.55%+2.08%+5.69%0.45%
287.7 USD +0.05%+3.07%+9.27%0.41%
161.2 USD +0.99%+3.94%+8.32%0.39%
39 USD +0.24%+3.18%+15.56%0.38%
180.1 USD +0.36%+1.16%+5.66%0.38%
63.2 USD +0.11%+0.45%+7.13%0.37%
309.4 USD +0.29%-1.11%-12.08%0.36%
3,352 JPY -1.64%-4.99%+29.40%0.36%
31.58 USD +0.98%+4.23%-37.77%0.35%
274.1 USD +0.08%+2.00%-7.64%0.35%
614.5 USD +0.16%+0.66%+26.01%0.35%
92.78 CHF -0.56%+0.45%+9.27%0.34%
598 USD -0.17%+4.42%+12.85%0.34%
48.94 USD -1.46%+3.48%-1.68%0.33%
12,117 GBX -0.45%-1.77%+14.28%0.33%
236.2 CHF +3.82%+4.66%-3.64%0.33%
430.3 USD -0.12%+0.73%+4.90%0.32%
104.5 USD -0.09%-0.33%-4.98%0.31%
39.24 USD -0.04%+0.51%-10.49%0.29%
656.1 USD +0.15%+3.59%+4.82%0.28%
177.1 EUR +0.55%-0.28%+27.10%0.28%
102.9 USD +0.14%-2.53%+13.82%0.27%
28.88 USD +0.21%+1.95%+0.10%0.27%
121.7 USD +0.06%+3.61%+15.37%0.27%
193.5 USD -0.55%+7.79%+34.56%0.27%
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Description

IE00BNG8L278
Total Expense Ratio 0.24%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Global All Cap Choice Net Tax Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
23/03/2021
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 322 M€
AuM 1M 322 M€
AuM 3 months 274 M€
AuM 6 months 227 M€
AuM 12 months 179 M€
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