Components UBS MSCI Japan Socially Responsible UCITS ETF A-acc - USD Hedged

ETF

0HDN

LU1273489440

Market Closed - London S.E. 09:35:32 16/05/2018 pm IST 5-day change 1st Jan Change
12.54 USD +1.84% Intraday chart for UBS MSCI Japan Socially Responsible UCITS ETF A-acc - USD Hedged -.--% -

Components: UBS MSCI Japan Socially Responsible UCITS ETF A-acc - USD Hedged

6,721.00JPY-4.40%+33.33%6.25%
65,100.00JPY-8.17%+89.69%5.83%
5,370.00JPY-5.22%+17.12%5.65%
7,526.00JPY-0.97%+29.38%4.97%
25,215.00JPY+0.66%+6.46%4.81%
4,717.00JPY-2.30%-3.77%4.45%
2,868.00JPY+0.84%+5.89%3.89%
12,820.00JPY+1.63%+44.91%3.75%
3,470.00JPY+0.93%-13.77%3.47%
6,637.00JPY-5.46%+9.09%3.29%
3,298.00JPY+1.26%-23.82%3.13%
220.50JPY+0.41%+2.65%3.05%
3,993.00JPY-5.33%+97.33%2.94%
4,354.00JPY-1.96%-18.00%2.79%
4,112.00JPY-2.44%+7.62%2.78%
1,537.00JPY-0.77%-13.68%2.76%
6,630.00JPY+0.18%+24.25%2.75%
24,500.00JPY-1.49%+22.01%2.61%
1,395.00JPY+1.75%-43.68%2.46%
2,151.00JPY+0.14%+2.77%2.34%
3,729.00JPY+0.65%+6.12%2.15%
4,895.00JPY-1.63%+30.36%1.66%
6,794.00JPY-6.62%+6.87%1.55%
3,308.00JPY+0.70%+5.67%1.55%
3,208.00JPY-1.02%-1.87%1.4%
3,222.00JPY-2.81%-13.27%1.22%
6,745.00JPY+1.00%+21.03%1.19%
3,546.00JPY-0.25%+1.37%1.14%
1,779.50JPY-5.12%+29.84%1.09%
889.00JPY+2.30%-4.64%0.99%
12,110.00JPY-4.61%+2.19%0.98%
4,793.00JPY-2.98%+32.59%0.97%
1,148.50JPY-1.54%+12.60%0.92%
1,794.00JPY-6.05%+38.69%0.86%
5,076.00JPY-0.47%-15.70%0.82%
5,468.00JPY-0.49%+9.01%0.71%
3,060.00JPY+1.19%+34.33%0.66%
799.10JPY-1.25%-20.41%0.63%
975.20JPY+1.08%+8.96%0.59%
2,665.00JPY+0.02%+1.14%0.57%
1,273.50JPY-0.62%+9.83%0.57%
4,679.00JPY-0.51%+18.67%0.54%
1,096.50JPY+1.39%+4.68%0.54%
1,204.50JPY-0.99%+22.48%0.51%
1,772.00JPY+1.08%-3.17%0.5%
2,532.00JPY+2.53%-6.64%0.42%
1,628.00JPY+4.96%+5.54%0.37%
1,193.00JPY+0.55%-7.59%0.25%
1,620.00JPY+1.79%+13.01%0.19%

Description

LU1273489440
Total Expense Ratio 0.22%
Asset Class Stocks
Size
Currency
Provider
Underlying MSCI Japan SRI Low Carbon Select 5% Issuer Capped Net Total Return Index - USD Hedged
Autres ETFs

Features and characteristics

Dividend Policy Capitalisation
Replication Method Physique
Jurisdiction
Fund Structure
Date of creation
06/06/2016
Geographical Focus

Distribution

Retail investor

AuM evolution - 27/02/2026

AuM (USD) 47.86L
AuM 1M 37.12L
AuM 3 months 46.73L
AuM 6 months 35.63L
AuM 12 months 39.05L
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