|
Marché Fermé -
18:00:00 02/10/2026
|
Varia. 5j.
|
Varia. 1 janv.
|
|
173,64 SEK
|
+0,37 %
|
|
-1,66 %
|
+8,32 %
|
|
23/01 |
XACT Nordic High Dividend Low Volatility (UCITS ETF) Announces Dividend Distributed in March, Payable on March 16, 2026
| | |
23/01 |
XACT Nordic High Dividend Low Volatility (UCITS ETF) Announces Dividend Distributed in May, September and November 2026, Payable on May 11, 2026, September 14, 2026 and November 16, 2026, Respectively
| | |
31/01/25 |
XACT Nordic High Dividend Low Volatility (UCITS ETF) Announces Dividend for March, May, September and in November, Payable on March 17, 2025, May 19, 2025, September 15, 2025, and November 17, 2025 Respectively
| | |
09/02/24 |
XACT Nordic High Dividend Low Volatility (UCITS ETF) Announces Dividend Distributed in March, Payable on March 18, 2024
| | |
09/02/24 |
XACT Nordic High Dividend Low Volatility (UCITS ETF) Announces Dividend Distributed in May, September and November 2024, Payable on May 28, 2024, September 16, 2024 and November 18, 2024, Respectively
| | |
01/02/23 |
XACT Nordic High Dividend Low Volatility (UCITS ETF) Announces Dividend, Payable on May 15, 2023, September 18, 2023 and November 20, 2023
| | |
01/02/23 |
XACT Nordic High Dividend Low Volatility (UCITS ETF) Announces Dividend, Payable on March 21, 2023
| | |
04/02/22 |
XACT Nordic High Dividend Low Volatility (UCITS ETF) Announces Dividend, Payable on May 9, 2022, September 19, 2022 and November 21, 2022
| | |
04/02/22 |
XACT Nordic High Dividend Low Volatility (UCITS ETF) Announces Dividend, Payable on March 21, 2022
| | |
10/02/21 |
XACT Nordic High Dividend Low Volatility (UCITS ETF) Announces Dividend, Payable on March 22, 2021, May 10, 2021, September 20, 2021 and November 22, 2021
| |
| Code ISIN |
SE0009778954
|
|---|
|
Frais de gestion (TER)
|
0.003
|
|---|
|
Catégories d'actif
|
Actions
|
|---|
|
Zones géographiques
| |
|---|
|
Devise
| |
|---|
|
Société de gestion
| |
|---|
|
Sous-jacent
|
Handelsbanken High dividend Low Volatility Price Index - SEK
|
|---|
|
Autres ETFs
|
|
Politique de dividendes
|
Distribution
|
|---|
|
Méthode de réplication
|
Physique
|
|---|
|
Structure du fonds
| | |
Date de création
|
31/03/2017
| |
Objectif géographique
| | |
PEA
|
NON
|
|
Encours (SEK)
|
22,79 Md
|
|---|
|
Encours 1 mois
|
22,79 Md
|
|---|
|
Encours 3 mois
|
22,79 Md
|
|---|
|
Encours 6 mois
|
22,79 Md
|
|---|
|
Encours 12 mois
|
22,79 Md
|
|---|
Sélectionnez votre édition Toutes les informations financières adaptées au niveau national |