Man Wah Holdings, Ltd.Man Wah Holdings, Ltd.Man Wah Holdings, Ltd.

Man Wah Holdings, Ltd.

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Man Wah Holdings, Ltd. 주식을 보유한 ETF

아래는 Man Wah Holdings, Ltd. 주식을 보유한 펀드로, 시가총액 기준으로 정렬되어 있습니다. 가격, 변동, 그리고 다른 유용한 통계가 제공되어 MAWHF에 대한 투자를 더 쉽게 하고 더 낮은 위험으로 더 많은 기회를 제공합니다.
심볼
마켓 밸류
비중
발행자
운용 스타일
포커스
지출 비율
AUM
가격
변화 %
상대적 거래량
NAV 총 수익률
3해
IAPDiShares Asia Pacific Dividend UCITS ETF3.53 M USD0.71%BlackRock, Inc.패시브고배당수익률0.59%492.36 M USD1,986.0 GBX+0.11%1.43+41.65%
EXXWiShares Dow Jones Asia Pacific Select Dividend 30 UCITS ETF
2.49 M USD0.72%BlackRock, Inc.패시브고배당수익률0.31%346.22 M USD26.790 EUR+1.90%0.19+40.56%
DFISDimensional International Small Cap ETF
1.18 M USD0.03%Dimensional Holdings, Inc.액티브소형주0.39%4.01 B USD32.00 USD+0.85%0.72+32.60%
VAPXVanguard FTSE Developed Asia Pacific (ex-Japan) UCITS ETF456.03 K USD0.03%The Vanguard Group, Inc.패시브전체 시장0.15%1.41 B USD22.8525 GBP+1.27%0.63+29.34%
VGEKVanguard FTSE Developed Asia Pacific ex Japan UCITS ETF Accum Shs USD
456.03 K USD0.03%The Vanguard Group, Inc.패시브전체 시장0.15%496.05 M USD33.065 EUR+1.19%0.30+29.49%
GGRBWisdomTree Global Quality Dividend Growth UCITS ETF Hedged GBP378.09 K USD0.02%WisdomTree, Inc.패시브전체 시장0.43%2.4 M USD2,045.0 GBX+0.81%0.26+9.27%
159699GF Hang Seng Consumption ETF
341.14 K USD0.53%GF Securities Co., Ltd.패시브테마0.60%1.093 CNY+0.09%0.89
DVYAiShares Asia/Pacific Dividend ETF
332 K USD0.71%BlackRock, Inc.패시브고배당수익률0.49%48.62 M USD42.69 USD+0.90%0.74+69.04%
513970INVESCO Great Wall Hang Seng Consumption Exchange Traded Fund Units
313.32 K USD0.52%Invesco Great Wall Fund Management Co. Ltd.패시브테마0.65%336.46 M USD1.012 CNY+0.10%0.78+15.26%
MCHMatthews China Active ETF
281.06 K USD1.15%Matthews International Capital Management LLC액티브전체 시장0.79%24.69 M USD30.64 USD−0.85%0.22+38.27%
LDAPL&G APAC ex-Japan Quality Dividends Equal Weight UCITS ETF270.89 K USD0.45%Legal & General Group Plc패시브전체 시장0.40%60.13 M USD11.134 USD+0.37%0.00+70.86%
DTHWisdomTree International High Dividend Fund
242.25 K USD0.05%WisdomTree, Inc.패시브고배당수익률0.58%489.34 M USD49.45 USD+0.57%2.18+83.21%
PDNInvesco RAFI Developed Markets ex-U.S. Small-Mid ETF
185.7 K USD0.05%Invesco Ltd.패시브확장된 시장0.47%365.02 M USD41.55 USD+0.79%2.59+70.07%
IPACiShares Core MSCI Pacific ETF
178.85 K USD0.01%BlackRock, Inc.패시브전체 시장0.09%1.9 B USD74.62 USD+1.57%0.52+62.82%
VVLVanguard Global Value Factor ETF
172.34 K USD0.05%The Vanguard Group, Inc.액티브전체 시장0.42%373 M USD61.02 CAD+0.83%0.61+73.34%
DDWMWisdomTree Dynamic International Equity Fund
169.31 K USD0.02%WisdomTree, Inc.패시브전체 시장0.40%886.21 M USD42.21 USD+0.74%0.41+73.71%
AVIVAvantis International Large Cap Value ETF
146.3 K USD0.02%American Century Cos., Inc.액티브대형주0.25%888.05 M USD68.29 USD+0.74%0.79+87.00%
3443CSOP FTSE Hong Kong Equity ETF
94.94 K USD0.03%China Southern Asset Management Co., Ltd.패시브전체 시장363.04 M USD9.925 HKD+2.58%0.11
DIMWisdomTree International MidCap Dividend Fund
91.23 K USD0.06%WisdomTree, Inc.패시브중형주0.58%155.16 M USD78.01 USD+0.68%1.42+78.85%
AVDSAvantis International Small Cap Equity ETF
62.13 K USD0.04%American Century Cos., Inc.액티브소형주0.30%140.47 M USD68.15 USD+0.93%0.73+33.03%
ISFEiShares MSCI AC Far East ex-Japan SmallCap UCITS ETF USD53.14 K USD0.09%BlackRock, Inc.패시브소형주0.74%60.26 M USD2,941 GBX−0.03%0.05+38.57%
VIDYVanguard FTSE Developed ex North America High Dividend Yield
43.3 K USD0.01%The Vanguard Group, Inc.패시브고배당수익률0.22%612.54 M USD39.45 CAD+0.66%0.89+73.55%
V3PAVanguard ESG Developed Asia Pacific All Cap UCITS ETF Accum USD-Acc11.87 K USD0.01%The Vanguard Group, Inc.패시브전체 시장0.17%158.27 M USD8.306 USD+1.71%0.13+25.20%
V3PL-ETFPVanguard ESG Developed Asia Pacific All Cap UCITS ETF USD
11.87 K USD0.01%The Vanguard Group, Inc.패시브전체 시장0.17%26.49 M USD6.635 EUR+1.30%0.12+10.59%
DEWWisdomTree Global High Dividend Fund
8.25 K USD0.01%WisdomTree, Inc.패시브고배당수익률0.58%123.04 M USD60.29 USD+0.57%1.10+60.12%
JFLIJPMorgan Flexible Income ETF
1.56 K USD0.01%JPMorgan Chase & Co.액티브목표 결과0.35%30.77 M USD51.38 USD+0.45%3.16
DISCBMO Global Consumer Discretionary Hedged to CAD Index ETF
472 USD0.00%Bank of Montreal패시브소비자 재량0.30%17.53 M USD46.27 CAD−0.32%0.07+68.21%