SPP1 - SPDR MSCI ACWI EUR Hdg UCITS ETF (Acc), IE00BF1B7389 | Cbonds
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SPP1 - SPDR MSCI ACWI EUR Hdg UCITS ETF (Acc) (IE00BF1B7389)

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(%)
IE00BF1B7389
SPP1 ISIN
上場投資信託(ETF)
ファンドのタイプ
SPDR State Street Global Advisors
プロバイダー
26.59 EUR
一口当たり純資産価値(NAV) | 2026/07/03
2019/09/30
設定日
いいえ
配当支払い
CEOGES
CFI
SPP1
ティッカー
Formed
ステータス
Equity
投資カテゴリー
Broad Market
セクター
Global
投資家所在地
MSCI ACWI with Developed Markets 100% Hedged to EUR Index
ベンチマーク
0.17 %
総保有コスト率(Total Cost Ratio)
2,317.67 百万 USD
ファンド基準価額 | 2022/10/24
1,636.81 百万 EUR
株式クラス純資産価値(Share Class NAV) | 2026/07/03
はい
UCITS

利回り 時点 2026/07/10, Frankfurt S.E.

  • 年初来
    6.39 %
  • 1ヶ月
    2.33 %
  • 3ヶ月
    4.7 %
  • 6ヶ月
    11.24 %
  • 1年
    23.28 %
  • 3年
    66.38 %
  • 5年
    -
  • 10年
    -
「収入支払いを考慮した取引所価格で」

最新データ
最新データ 2026/07/03
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1 000 000

債券

80 234

175 910

ETF&投資信託

70 000

インデックス

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価格推移

ファンドプロファイル

The SPDR MSCI ACWI UCITS ETF seeks to replicate as closely as possible the price and yield performance of the MSCI ACWI with Developed Markets Index by investing in a portfolio comprised primarily of equity securities of companies across developed and emerging market countries

SPP1 プロファイル

The SPDR MSCI ACWI EUR Hdg UCITS ETF (Acc) is a(n) Equity Exchange Traded Funds (ETF) seeks to invest in Broad Market sector located in Global. The SPDR State Street Global Advisors fund’s base currency is USD and the share class was registered 30.09.2019 with unique ISIN - IE00BF1B7389. Main exchange is Frankfurt S.E. and ticker symbol is SPP1. The total expense ratio is 0.17%. The SPDR MSCI ACWI EUR Hdg UCITS ETF (Acc) pays dividends 0 time(s) per year.

構造 SPP1 時点 2026/07/09

証券 価値
NVIDIA Corporation 4.64%
Apple Inc. 4.59%
Microsoft Corporation 2.68%
Amazon.com Inc. 2.36%
Alphabet Inc. Class A 2.04%
Taiwan Semiconductor Manufacturing Co. Ltd. 1.83%
Broadcom Inc. 1.79%
Alphabet Inc. Class C 1.66%
Meta Platforms Inc Class A 1.38%
Tesla Inc. 1.14%
Micron Technology Inc. 1.11%
Eli Lilly and Company 0.97%
JPMorgan Chase & Co. 0.89%
Advanced Micro Devices Inc. 0.89%
Samsung Electronics Co. Ltd. 0.86%
SK hynix Inc. 0.8%
ASML Holding NV 0.71%
Berkshire Hathaway Inc. Class B 0.66%
Johnson & Johnson 0.6%
Visa Inc. Class A 0.58%
Intel Corporation 0.49%
Walmart Inc. 0.49%
Applied Materials Inc. 0.46%
Cisco Systems Inc. 0.46%
Lam Research Corporation 0.44%
AbbVie Inc. 0.44%
Caterpillar Inc. 0.43%
Mastercard Incorporated Class A 0.42%
Costco Wholesale Corporation 0.4%
Bank of America Corp 0.39%
UnitedHealth Group Incorporated 0.39%
Tencent Holdings Ltd 0.37%
GE Aerospace 0.37%
HSBC Holdings Plc 0.33%
Home Depot Inc. 0.33%
Procter & Gamble Company 0.33%
Netflix Inc. 0.32%
Chevron Corporation 0.31%
Coca-Cola Company 0.31%
Goldman Sachs Group Inc. 0.31%
Merck & Co. Inc. 0.31%
Roche Holding Ltd 0.3%
KLA Corporation 0.3%
GE Vernova Inc. 0.29%
Novartis AG 0.28%
Royal Bank of Canada 0.28%
Palantir Technologies Inc. Class A 0.28%
Philip Morris International Inc. 0.28%
Texas Instruments Incorporated 0.28%
AstraZeneca PLC 0.28%
International Business Machines Corporation 0.28%
Palo Alto Networks Inc. 0.27%
Morgan Stanley 0.27%
Wells Fargo & Company 0.26%
Nestle S.A. 0.26%
RTX Corporation 0.26%
Oracle Corporation 0.25%
Linde plc 0.24%
Citigroup Inc. 0.24%
Alibaba Group Holding Limited 0.23%
Shell Plc 0.23%
Siemens Aktiengesellschaft 0.23%
Mitsubishi UFJ Financial Group Inc. 0.23%
Marvell Technology Inc. 0.21%
QUALCOMM Incorporated 0.2%
BHP Group Ltd 0.2%
Tokyo Electron Ltd. 0.2%
Western Digital Corporation 0.2%
Amphenol Corporation Class A 0.2%
Amgen Inc. 0.2%
Arista Networks Inc 0.2%
Banco Santander S.A. 0.19%
Seagate Technology Holdings PLC 0.19%
Toronto-Dominion Bank 0.19%
Analog Devices Inc. 0.19%
Commonwealth Bank of Australia 0.19%
CrowdStrike Holdings Inc. Class A 0.19%
Thermo Fisher Scientific Inc. 0.19%
McDonald's Corporation 0.19%
PepsiCo Inc. 0.19%
NextEra Energy Inc. 0.18%
Allianz SE 0.18%
American Express Company 0.18%
Verizon Communications Inc. 0.17%
Schneider Electric SE 0.17%
Walt Disney Company 0.17%
Union Pacific Corporation 0.17%
SAP SE 0.17%
Gilead Sciences Inc. 0.17%
Charles Schwab Corp 0.17%
Toyota Motor Corp. 0.16%
Rolls-Royce Holdings plc 0.16%
Boeing Company 0.16%
TJX Companies Inc 0.16%
Welltower Inc. 0.16%
UBS Group AG 0.16%
Abbott Laboratories 0.16%
ABB Ltd. 0.16%
MediaTek Inc 0.16%
Eaton Corp. Plc 0.16%
その他 - %

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