#Rank Wert Perf.
169 Vanguard ESG Developed Asia Pacific Index (All Cap UCITS ETF (Dist) EUR Indicative Net Asset Values) +1,14 %
170 Vanguard ESG Developed Asia Pacific Index (All Cap UCITS ETF (Acc) GBP Indicative Net Asset Values) +0,88 %
171 Vanguard ESG Developed Asia Pacific Index (All Cap UCITS ETF (Acc) CHF Indicative Net Asset Values) +1,32 %
172 Vanguard ESG Developed Asia Pacific ETF Index (All Cap UCITS (Acc) USD Indicative Net Asset Values) +1,67 %
173 Vanguard ESG Developed Asia Pacific ETF Index (All Cap UCITS (Acc) EUR Indicative Net Asset Values) +1,15 %
174 SPDR MSCI Emerging Markets Climate Paris Aligned UCITS ETF (GBP Indicative Net Asset Values) +1,07 %
175 SPDR MSCI Emerging Markets Climate Paris Aligned UCITS ETF (EUR Indicative Net Asset Values) +1,13 %
176 SPDR MSCI ACWI Climate Paris Aligned UCITS ETF Index (USD Accumulating Indicative Net Asset Values) +1,14 %
177 SPDR MSCI ACWI Climate Paris Aligned UCITS ETF Index (GBP Accumulating Indicative Net Asset Values) +0,36 %
178 SPDR MSCI ACWI Climate Paris Aligned UCITS ETF Index (EUR Accumulating Indicative Net Asset Values) +0,41 %
179 SPDR Bloomberg Global Aggregate Bond EUR Hdg UCITS ETF Index (Indicative Net Asset Values) +0,23 %
180 MSCI USA SRI filtered PAB Index (Indicative Net Asset Values) +0,30 %
181 JPM USD Corporate Bond Research Enhanced Index UCITS ETF (GBP Indicative Net Asset Values) +0,69 %
182 JPM US Research Enhanced Index Equity UCITS ETF Hedged (acc) (ESG CHF Indicative Net Asset Values) +1,02 %
183 JPM US Research Enhanced Index Equity (ESG) UCITS ETF Index (GBP Indicative Net Asset Values) +0,31 %
185 JPM US Research Enhanced Index Eq SRI Paris Align UCIT ETF Index USD (dist) +0,61 %
184 JPM US Research Enhanced Index Eq SRI Paris Align UCIT ETF Index USD (dist) +1,10 %
188 JPM US Research Enhanced Index Eq SRI Paris Align UCIT ETF Index USD (acc) +0,34 %
187 JPM US Research Enhanced Index Eq SRI Paris Align UCIT ETF Index USD (acc) +0,61 %
186 JPM US Research Enhanced Index Eq SRI Paris Align UCIT ETF Index USD (acc) +1,10 %
189 JPM US Research Enhanced Index Eq SRI Paris Align UCIT ETF Index EUR Hedged (acc) +1,08 %
190 JPM US Research Enhanced Index Eq SRI Paris Align UCIT ETF Index CHF Hedged (acc) +1,07 %
191 JPM UK Equity Core UCITS ETF - GBP (dist) (GBP Accumulating Indicative Net Asset Values) +0,01 %
192 JPM UK Equity Core UCITS ETF - GBP (acc) Ix (GBP Accumulating Indicative Net Asset Values) ±0,00 %
193 JPM Green Social Sustainable Bond UCITS ETF USD (USD) +0,32 %
194 JPM Green Social Sustainable Bond UCITS ETF - EUR Hedged (EUR) -0,10 %
195 JPM Green Social Sustainable Bond UCITS ETF (GBP) -0,43 %
196 JPM Green Social Sustainable Bond UCITS ETF (EUR) -0,17 %
197 JPM Global Research Enhanced Equity(ESG)UCITS ETF-EUR Hedged (Index EUR Indicative Net Asset Values) +0,94 %
198 JPM Global High Yield Corporate Bond Multi-Factor UCITS ETF (USD Indicative Net Asset Values) +0,31 %
199 JPM Global High Yield Corp Bond Multi-Factor UCI TS ETF Index (EUR Indicative Net Asset Values) +0,22 %
200 JPM Glb Research Enhanced Index Equity ESG UCITS ETF USD dist (Indicative Net Asset Values GBP) +0,36 %
201 JPM Glb Research Enhanced Index Equity ESG UCITS ETF USD dist (Indicative Net Asset Values EUR) +0,62 %
202 JPM Glb Research Enhanced Index Eq SRI Paris Alig UCIT ETF Index USD (dist) +0,59 %
205 JPM Glb Research Enhanced Index Eq SRI Paris Alig UCIT ETF Index USD (acc) +0,59 %
204 JPM Glb Research Enhanced Index Eq SRI Paris Alig UCIT ETF Index USD (acc) +0,32 %
203 JPM Glb Research Enhanced Index Eq SRI Paris Alig UCIT ETF Index USD (acc) +1,08 %
206 JPM Glb Research Enhanced Index Eq SRI Paris Alig UCIT ETF Index EUR (acc) +0,60 %
207 JPM Glb Research Enhanced Index Eq SRI Paris Alig UCIT ETF Index CHF Hedged (acc) +0,85 %
208 JPM Glb Emrg Mkts Res Enh Index Equity ESG UCITS ETF USD dist (Indicative Net Asset Values GBP) +1,27 %
209 JPM Eurozone Research Enhanced Index Equity UCITS ETF (dist) (ESG GBP Indicative Net Asset Values) +0,69 %
210 JPM Eurozone Research Enhanced Index Equity UCITS ETF (dist) (ESG EUR Indicative Net Asset Values) +0,95 %

Angaben zur durchschnittlichen Performance, können zeitverzögerte Notierungen enthalten.