FTSE Developed ex North America High Dividend Yield Net Tax Index Stock

Index

GPVAN113

Delayed Great Britain 11:58:01 2024-05-16 EDT 5-day change 1st Jan Change
1,354 PTS -0.05% Intraday chart for FTSE Developed ex North America High Dividend Yield Net Tax Index +1.26% +10.08%
Current month+2.98%
1 month+3.25%
Dynamic Chart
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ETF on FTSE Developed ex North America High Dividend Yield Net Tax Index

Name
5d. change
AuM
Geo-Target
Theme
Asset Class
+0.08% 5,093 M€ Canada - Fixed Income
+1.12% 3,412 M€ - - Actions,Fixed Income
+1.24% 2,737 M€ No restriction - Equities
+0.61% 2,380 M€ Canada - Equities
+1.25% 2,307 M€ World - Equities
+0.14% 2,165 M€ Canada - Fixed Income
+1.22% 2,003 M€ Canada - Equities
+0.09% 1,866 M€ North America - Fixed Income
+0.98% 1,843 M€ - - Actions,Fixed Income
+0.05% 1,686 M€ World - Fixed Income
More ETFs
Date Price Change
24-05-16 1,354 -0.05%
24-05-15 1,354 +0.45%
24-05-14 1,348 -0.06%
24-05-13 1,349 +0.26%
24-05-10 1,346 +0.55%

Delayed Quote Great Britain

Last update May 16, 2024 at 11:58 am

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Highest FTSE Developed ex North America High Dividend Yield Net Tax Index increases

+27.85%
+17.19%
+15.99%
+13.76%
+12.04%

The sharpest declines in FTSE Developed ex North America High Dividend Yield Net Tax Index.

-8.27%
-9.68%
-17.53%
-20.55%
-22.19%
See the ranking
Detailed heatmap
1 week+1.26%
Current month+2.98%
1 month+3.25%
3 months+9.06%
6 months+12.84%
Current year+10.08%
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