Components VanEck Sustainable European Equal Weight UCITS ETF - EUR

ETF

TEGB

NL0010731816

Market Closed - London S.E. 09:05:21 31/05/2024 pm IST 5-day change 1st Jan Change
81.73 USD +0.30% Intraday chart for VanEck Sustainable European Equal Weight UCITS ETF - EUR -0.58% +6.57%

Composition of VanEck Sustainable European Equal Weight UCITS ETF - EUR

Weight
33.38 EUR -2.33%-4.01%+23.70%1.47%
302.8 NOK +1.63%+0.28%-5.99%1.37%
777.4 GBX -0.51%-0.05%+16.62%1.32%
1,937 DKK +0.31%+0.55%-10.12%1.28%
182.9 EUR +1.78%-0.81%-1.93%1.28%
146 EUR +0.24%-3.44%+13.48%1.28%
411 USD +0.49%-1.24%+21.44%1.26%
22.29 EUR +1.27%+2.44%+2.48%1.26%
2,192 GBX +0.46%-1.31%+2.14%1.22%
457.9 EUR +0.73%-0.91%+22.07%1.21%
93.17 CHF +2.13%+1.56%+9.78%1.20%
4,452 GBX +1.92%+0.91%-17.86%1.19%
12,190 GBX +1.35%-0.86%+15.00%1.19%
95.56 CHF +1.51%+3.40%-2.00%1.17%
473.7 CHF +0.96%+0.79%+7.76%1.16%
39.17 EUR +0.51%-0.48%+15.14%1.15%
43.56 EUR -1.80%-1.67%+10.47%1.14%
340.7 EUR +1.04%+0.89%-0.82%1.13%
3,416 GBX +0.44%-2.95%+9.84%1.13%
231 CHF +1.18%+0.26%-5.52%1.13%
16.36 EUR +0.09%+0.07%+20.98%1.12%
452.1 EUR +1.66%+1.06%+0.32%1.12%
9,162 GBX +0.73%-1.74%-1.21%1.11%
77.8 EUR +0.06%-0.38%-1.09%1.11%
98.64 SEK +1.04%+0.96%-9.88%1.11%
3.591 EUR +0.91%+0.98%+17.66%1.11%
269.5 SEK -0.19%-1.35%+7.80%1.09%
59.12 EUR +0.44%-0.10%+0.75%1.08%
205.3 EUR +0.39%-1.39%+13.05%1.07%
28.54 EUR -0.35%-1.65%+9.71%1.07%
37.86 EUR +0.19%-2.07%-16.33%1.07%
28.58 EUR +1.89%-0.87%+10.73%1.06%
33.05 EUR -0.09%-1.64%+12.07%1.06%
185.6 EUR -4.48%-12.86%-1.67%1.06%
9.94 EUR -0.30%-0.24%+20.84%1.05%
49.4 CHF +0.16%+0.16%+32.44%1.04%
80.34 CHF +0.17%-2.05%+22.39%1.04%
27.39 EUR +0.05%+0.29%+14.01%1.03%
10.72 EUR +0.70%+0.47%+4.09%1.03%
129 SEK +0.08%-0.77%+3.43%1.03%
4,237 CHF +0.78%+0.28%+21.61%1.02%
65.34 EUR -0.97%+2.13%+0.71%1.02%
3,607 GBX -0.55%-2.80%+12.65%1.02%
1,755 GBX +2.27%+0.83%-5.44%1.01%
205.2 NOK +0.54%-0.10%-5.00%0.98%
4.285 EUR +0.59%+3.13%+21.25%0.98%
81.76 USD +2.25%-0.22%+18.22%0.98%
89.76 EUR +1.34%+0.27%-.--%0.98%
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Description

NL0010731816
Total Expense Ratio 0.40%
Asset Class
Sector
Size
Currency
Provider
Underlying Solactive European Equity Index GTR - EUR

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
30/09/2014
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 48 M€
AuM 1M 48 M€
AuM 3 months 50 M€
AuM 6 months 44 M€
AuM 12 months 46 M€
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