Components HANetf U.S. Global Jets UCITS ETF - USD

ETF

JETP

IE00BN76Y761

Market Closed - London S.E. 11:35:16 2024-04-18 EDT 5-day change 1st Jan Change
6.253 USD +3.90% Intraday chart for HANetf U.S. Global Jets UCITS ETF - USD 0.00% +7.32%

Composition of HANetf U.S. Global Jets UCITS ETF - USD

Weight
27.03 USD -0.84%-8.00%-6.41%10.72%
49.92 USD +0.08%+4.94%+24.09%10.62%
13.88 USD -1.77%-1.63%+1.02%10.39%
52.84 USD -1.25%+2.84%+28.07%10.27%
6.12 USD -2.08%-12.07%+12.09%3.47%
5.78 USD +1.05%-18.71%+4.14%3.23%
43.96 USD -1.32%-2.33%+12.52%3.23%
57.04 USD -1.64%-8.46%-30.95%3.16%
20.02 CAD +0.20%+2.25%+7.12%3.06%
73.66 USD +0.71%+6.55%+41.11%2.97%
13.65 USD -3.53%-8.20%-13.22%2.66%
27.45 USD +4.61%+9.62%+27.50%2.23%
3,521 USD +0.53%+3.11%-0.74%2.13%
63.79 CAD +3.32%+11.78%+19.88%2.12%
167.2 USD +0.25%-1.53%-35.85%2.08%
12.91 USD +1.41%+2.14%-26.69%2.06%
135.7 USD -0.40%+5.19%-10.60%2.04%
86.51 USD +1.90%-7.28%+7.57%1.96%
284.4 USD -0.17%-1.46%+9.53%1.93%
98.95 USD -0.19%-2.68%-6.92%1.05%
50.6 USD +0.36%+5.42%+40.52%1.00%
2,841 JPY +0.05%+2.38%+2.38%0.98%
157.1 EUR -0.92%-1.86%+12.36%0.98%
3,060 JPY +0.92%+3.45%0.00%0.98%
59.64 EUR +0.74%+3.87%-8.08%0.97%
5.88 AUD +0.34%+4.63%+9.50%0.95%
176.3 GBX +0.09%+4.01%+13.74%0.93%
317 TRY +1.20%+4.79%+38.67%0.80%
189.6 MXN +3.50%+18.26%+5.47%0.55%
314.5 MXN +1.45%+18.17%+6.10%0.55%
2,198 GBX +3.88%+2.42%-0.59%0.54%
9.72 EUR +0.31%-2.37%-28.49%0.54%
7.75 NZD -1.52%-1.27%-11.93%0.53%
5,602 JPY +3.93%+2.38%-9.81%0.51%
538.2 GBX +0.98%+0.56%+5.53%0.51%
118.5 EUR +1.37%+0.25%+1.11%0.50%
22.2 HKD +2.54%+2.54%+53.74%0.49%
175.8 EUR +0.74%+1.50%+7.13%0.49%
67.47 USD -0.07%+10.79%+43.61%0.49%
6.54 SGD -0.15%+4.64%-0.30%0.49%
187.7 CHF +0.43%-1.98%+6.89%0.47%
6.696 EUR +0.69%-0.30%-16.80%0.46%
217.1 TRY +6.95%+10.94%+101.95%0.42%
974 TRY +1.09%+10.06%+49.96%0.42%
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Description

IE00BN76Y761
Total Expense Ratio 0.65%
Asset Class
Sector
Size
Currency
Provider
Underlying U.S. Global Jets Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2021-06-16
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 4 M€
AuM 1M 4 M€
AuM 3 months 5 M€
AuM 6 months 4 M€
AuM 12 months 6 M€
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