Components Vanguard FTSE North America UCITS ETF Accumulating - USD

ETF

VNRA

IE00BK5BQW10

Real-time BOERSE MUENCHEN 11:35:04 21/06/2024 am IST 5-day change 1st Jan Change
124.6 EUR 0.00% Intraday chart for Vanguard FTSE North America UCITS ETF Accumulating - USD +1.55% +17.59%

Composition of Vanguard FTSE North America UCITS ETF Accumulating - USD

Weight
445.7 USD -0.14%+0.93%+18.52%6.39%
209.7 USD -2.15%-2.13%+8.91%5.48%
130.8 USD -3.54%+0.90%+164.08%4.53%
186.1 USD +1.80%+1.23%+22.48%3.48%
176.3 USD +0.69%+0.65%+26.21%2.13%
501.7 USD +0.44%-0.48%+41.74%2.10%
886 USD -0.61%+0.30%+51.99%1.46%
1,735 USD -3.77%+3.31%+55.39%1.24%
198.7 USD +0.85%+2.59%+16.80%1.22%
181.6 USD -1.78%-0.49%-26.93%1.12%
111.7 USD +2.16%+1.54%+11.76%1.04%
484.5 USD +0.72%-2.57%-7.97%0.99%
276.8 USD +1.17%+2.08%+6.33%0.94%
167.7 USD -0.53%+0.76%+14.42%0.85%
452.5 USD +0.53%+1.69%+6.10%0.83%
147.8 USD +1.46%+1.60%-5.72%0.77%
353.4 USD -0.12%+1.60%+1.99%0.74%
129.7 USD +1.31%+0.23%+18.94%0.72%
862.4 USD -0.95%+1.95%+30.66%0.71%
172.1 USD +0.45%+3.34%+11.07%0.63%
156.6 USD +2.16%+2.49%+5.01%0.61%
39.99 USD 0.00%+1.86%+18.77%0.56%
68.01 USD +0.61%+1.96%+29.42%0.56%
161.8 USD +4.62%+1.18%+9.75%0.56%
241.8 USD +4.31%+5.58%-8.11%0.56%
166.7 USD +0.12%+2.05%-1.86%0.53%
62.18 USD -0.72%-1.29%+5.52%0.53%
679 USD -0.97%+3.94%+39.47%0.52%
557.2 USD -2.10%-2.69%+4.98%0.48%
442.6 USD +0.59%+0.64%+7.77%0.47%
523 USD +0.13%+14.00%-12.34%0.46%
101.8 USD +0.33%+1.75%+12.79%0.45%
253.8 USD +1.20%+0.04%-14.40%0.44%
46.72 USD +1.63%+2.64%-7.52%0.42%
306.2 USD +7.29%+8.44%-12.75%0.42%
215.5 USD -5.12%-1.07%+48.98%0.41%
106.6 USD +2.48%+3.02%-3.18%0.40%
142.9 USD -1.20%+2.19%+35.55%0.39%
165 USD +0.02%+5.98%+29.28%0.39%
616.1 USD +1.05%+3.61%-1.43%0.38%
329.1 USD +1.23%+0.85%+11.32%0.38%
40.24 USD +0.40%+1.16%+6.74%0.37%
240 USD -3.16%+1.03%+48.08%0.37%
248.6 USD -3.48%-2.53%+7.44%0.36%
192.8 USD -1.78%-1.79%+13.08%0.35%
173.9 USD +1.98%+2.84%+6.34%0.33%
111.3 USD +1.75%+0.40%-4.08%0.33%
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ETF Ratings

Description

IE00BK5BQW10
Total Expense Ratio 0.10%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE North America Index NTR - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
23/07/2019
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 1,096 M€
AuM 1M 1,040 M€
AuM 3 months 970 M€
AuM 6 months 779 M€
AuM 12 months 669 M€
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