Components Xtrackers MSCI Taiwan UCITS ETF 1C - USD

ETF

DB34

LU0292109187

Market Closed - Wiener Boerse 16:32:19 26/06/2024 BST 5-day change 1st Jan Change
62.13 EUR -0.21% Intraday chart for Xtrackers MSCI Taiwan UCITS ETF 1C - USD -2.75% +25.67%

Composition of Xtrackers MSCI Taiwan UCITS ETF 1C - USD

Weight
960 TWD +1.59%+1.80%+61.89%33.81%
210 TWD -0.47%+5.79%+100.96%6.24%
1,405 TWD +1.44%0.00%+38.42%4.85%
309.5 TWD +1.48%+6.36%+37.86%2.25%
385 TWD -0.52%+10.63%+22.81%1.97%
37.65 TWD -0.92%-0.66%+32.80%1.90%
56.6 TWD +0.35%-0.35%+7.60%1.80%
77.8 TWD -0.89%+1.04%+20.06%1.71%
59.5 TWD -1.65%+1.02%+30.05%1.53%
40.25 TWD -0.98%+0.37%+2.68%1.45%
125.5 TWD -0.40%-1.95%+4.58%1.45%
172.5 TWD +2.07%+0.88%+27.78%1.45%
28.8 TWD -1.03%-0.17%+11.63%1.22%
82.7 TWD -0.60%+1.47%+11.01%1.19%
613 TWD +1.49%-0.65%+18.57%1.15%
506 TWD 0.00%+2.02%+3.37%1.05%
33.8 TWD -1.74%+2.74%+22.46%0.99%
28 TWD -0.71%-0.36%+2.19%0.95%
23.05 TWD -1.07%-1.50%-14.63%0.92%
107 TWD -0.93%0.00%+8.52%0.91%
26 TWD -0.95%-0.57%-2.62%0.86%
155.5 TWD -0.32%-3.72%-19.43%0.86%
57.2 TWD -2.05%-5.45%-27.78%0.85%
49.2 TWD -1.60%-2.19%-26.02%0.85%
180 TWD 0.00%-5.26%+2.27%0.79%
763 TWD +0.93%+7.16%+27.81%0.78%
2,525 TWD -1.94%-7.68%-22.90%0.73%
25.45 TWD -1.74%+3.04%+29.19%0.73%
2,590 TWD -0.58%-4.43%+41.92%0.71%
535 TWD +0.56%-1.83%+2.29%0.71%
34.4 TWD -0.29%+1.47%-1.29%0.70%
2,740 TWD +0.74%+3.01%-4.53%0.69%
15.15 TWD -1.94%-1.94%+20.72%0.69%
530 TWD -0.38%-5.53%+12.41%0.65%
26.25 TWD -0.38%+0.96%+17.45%0.65%
18.8 TWD -0.79%+0.80%+3.87%0.63%
106.5 TWD +1.43%+0.95%-8.97%0.62%
50.1 TWD -2.15%-2.91%-19.58%0.62%
114.5 TWD -1.29%-1.72%+31.16%0.61%
617 TWD -3.89%-2.99%-12.98%0.60%
200 TWD -0.99%+0.50%+39.37%0.59%
106 TWD -0.47%-1.40%+7.51%0.58%
45.7 TWD -0.98%-0.11%-2.35%0.57%
308.5 TWD -0.48%0.00%+15.98%0.56%
239.5 TWD +2.35%+0.21%+21.57%0.54%
278 TWD 0.00%+1.65%+3.15%0.51%
1,050 TWD -0.47%+0.96%+3.96%0.50%
35.15 TWD -0.14%-2.50%-11.79%0.47%
370.5 TWD -0.40%+0.14%-0.40%0.47%
56.3 TWD -0.71%+2.74%+6.63%0.46%
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ETF Ratings

Description

LU0292109187
Total Expense Ratio 0.65%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Taiwan 20- 35 Custom NTR Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
18/06/2007
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/05/2024 )

AuM (EUR) 98 M€
AuM 1M 99 M€
AuM 3 months 94 M€
AuM 6 months 98 M€
AuM 12 months 95 M€
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  2. ETF
  3. DB34 ETF
  4. Components Xtrackers MSCI Taiwan UCITS ETF 1C - USD