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Blackrock ishares uk equity index class l

WebBlackRock iShares UK Gilts All Stocks Index Class L 12.94%: BlackRock iShares UK Equity Index Class L 10.25%: BlackRock iShares Corporate Bond Index Class L 8.94%: BlackRock Cash Class X ...

iShares North American Equity Index Fund (UK) Class L - BlackRock

Web2 days ago · Asset Class Equity Target Benchmark 1 FTSE World Europe ex UK Index Initial Charge 0.00% Ongoing Charges Figures 0.22% Annual Management Fee 0.20% Performance Fee 0.00% Minimum Initial Investment GBP 1,000,000.00 Minimum Subsequent Investment GBP 100.00 Use of Income Accumulating Domicile United … WebApr 12, 2024 · Scheda. Asset netti al 12/04/2024 EUR 20.162. Net Assets of Fund al 12/04/2024 USD 482.338.218,58. Data di lancio Classe di Azioni 04/04/2024. Data di lancio comparto 06/05/2024. Valuta della serie EUR. Valuta di base USD. Classe di attivo Azionario. Benchmark MSCI Emerging Markets ex Select Controversies Net Index (USD) cloudflare load balancing setup https://groupe-visite.com

iShares Emerging Market Screened Equity Index Fund (IE)

WebIl est donc recommandé aux investisseurs d'évaluer personnellement le filtrage ESG de l’indice de référence du point de vue éthique avant d'investir dans le Fonds. Ce filtrage … Web2 days ago · iShares Emerging Market Screened Equity Index Fund (IE) WICHTIGE INFORMATIONEN: Kapitalrisiken. Der Wert der Anlagen und die daraus entstandenen … Web2 days ago · C. Ökologische oder soziale Merkmale des Finanzprodukts. Der Teilfonds wird passiv verwaltet und ist bestrebt, folgende ökologische und soziale Merkmale zu bewerben, indem er die Wertentwicklung seines Referenzindex, des MSCI Emerging Markets ex Select Controversies Index, nachbildet: 1. Ausschluss von Emittenten, die an bestimmten … byv cars

iShares Emerging Market Screened Equity Index Fund (IE) …

Category:iShares US Equity Index Fund (UK) L - BlackRock

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Blackrock ishares uk equity index class l

iShares US Equity Index Fund (UK) H - blackrock.com

WebInvestment risk is concentrated in specific sectors, countries, currencies or companies. This means the Fund is more sensitive to any localised economic, market, political, sustainability-related or regulatory events. The value of equities and equity-related securities can be … WebMar 31, 2024 · iShares US Equity Index Fund (UK) Add to Compare. NAV as of 31/Mar/2024 GBP 2.57. 52 WK: 2.36 - 2.83. 1 Day NAV Change as of 31/Mar/2024 -0.01 (-0.28%) Morningstar Rating. Please note, that on the 26th September 2024, this fund range changed its pricing method from dual pricing to single swing pricing, please click on this …

Blackrock ishares uk equity index class l

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Web2 days ago · iShares Emerging Market Screened Equity Index Fund (IE) WICHTIGE INFORMATIONEN: Kapitalrisiken. Der Wert der Anlagen und die daraus entstandenen Erträge sind nicht garantiert und können sowohl fallen als auch steigen. Anleger erhalten den ursprünglich investierten Betrag eventuell nicht zurück. Schwellenmärkte sind im … WebMar 31, 2024 · The Fund aims to provide a return on your investment (generated through an increase in the value of the assets held by the Fund) by tracking closely the performance of the FTSE 350 Index, the Fund’s benchmark index. The Fund invests in equity securities (e.g. shares) of companies that make up the benchmark index. The benchmark index …

WebApr 12, 2024 · iShares Emerging Market Screened Equity Index Fund (IE) WICHTIGE INFORMATIONEN: Kapitalrisiken. Der Wert der Anlagen und die daraus entstandenen Erträge sind nicht garantiert und können sowohl fallen als auch steigen. Anleger erhalten den ursprünglich investierten Betrag eventuell nicht zurück. Schwellenmärkte sind im … Web2 days ago · C. Ökologische oder soziale Merkmale des Finanzprodukts. Der Teilfonds wird passiv verwaltet und ist bestrebt, folgende ökologische und soziale Merkmale zu bewerben, indem er die Wertentwicklung seines Referenzindex, des MSCI Emerging Markets ex Select Controversies Index, nachbildet: 1. Ausschluss von Emittenten, die an bestimmten …

WebMar 29, 2024 · iShares 100 UK Equity Index Fund (UK) NAV as of Mar 29, 2024 GBP 1.97 52 WK: 1.76 - 2.09 1 Day NAV Change as of Mar 29, 2024 0.01 (0.37%) Morningstar Rating We are currently experiencing technical difficulties with publishing our offer prices. Please call 0800 445522 if you require an up to date offer price for this fund. WebApr 3, 2024 · iShares North American Equity Index Fund (UK) NAV as of Apr 3, 2024 GBP 4.53 52 WK: 4.06 - 4.85 1 Day NAV Change as of Apr 3, 2024 0.07 (1.54%) Morningstar Rating We are currently experiencing technical difficulties with publishing our offer prices. Please call 0800 445522 if you require an up to date offer price for this fund.

WebApr 6, 2024 · iShares Pacific ex Japan Equity Index Fund (UK) NAV as of Apr 6, 2024 GBP 2.30 52 WK: 2.06 - 2.48 1 Day NAV Change as of Apr 6, 2024 -0.02 (-0.74%) Morningstar Rating We are currently experiencing technical difficulties with publishing our offer prices. Please call 0800 445522 if you require an up to date offer price for this fund.

WebApr 6, 2024 · Net Assets as of Mar 23, 2024 EUR 305,949. Net Assets of Fund as of Mar 23, 2024 USD 469,111,996. Share Class Inception Date Mar 20, 2024. Fund Inception Date May 6, 2024. Share Class Currency EUR. Base Currency USD. Asset Class Equity. Benchmark Index MSCI Emerging Markets ex Select Controversies Net Index (USD) … cloudflare logs to s3WebiShares UK Equity Index Fund (UK) NAV as of 24/Mar/2024 GBP 2.60. 52 WK: 2.36 - 2.80. 1 Day NAV Change as of 24/Mar/2024 -0.03 (-1.25%) Morningstar Rating. Please note, … cloudflare log4j decembercimpanu therecordWebAsset Class Equity Target Benchmark 1 FTSE Emerging Index Initial Charge 0.00% Ongoing Charges Figures 0.29% Annual Management Fee 0.20% Performance Fee 0.00% Minimum Initial Investment GBP 1,000,000.00 Minimum Subsequent Investment GBP 100.00 Distribution Frequency Daily Use of Income Distributing Domicile United … byvejr themWebApr 6, 2024 · iShares GiltTrak Index Fund (IE) INFORMAZIONI IMPORTANTI: Capitale a Rischio. Il valore degli investimenti e il reddito che ne deriva possono crescere così come diminuire, e non sono garantiti. Gli investitori potrebbero non rientrare in possesso dell'importo inizialmente investito. byvejr thistedWebLe Fonds vise à obtenir un retour sur investissement, grâce à une combinaison de croissance du capital et de revenu sur les actifs du Fonds, qui reflète le rendement des marchés boursiers émergents mondiaux, à l’exclusion des sociétés qui ne respectent pas les critères environnementaux, sociaux et de gouvernance (« ESG »). Le Fonds est géré … cloudflare log4j wafWebMar 23, 2024 · iShares North American Equity Index Fund (UK) NAV as of Mar 23, 2024 GBP 2.90. 52 WK: 2.69 - 3.21. 1 Day NAV Change as of Mar 23, 2024 -0.04 (-1.42%) Morningstar Rating. We are currently experiencing technical difficulties with publishing our offer prices. Please call 0800 445522 if you require an up to date offer price for this fund. byvettepadoundji21 gmail.comWebMar 17, 2024 · iShares UK Equity Index Fund (UK) NAV as of Feb 17, 2024 GBP 2.21 52 WK: 1.87 - 2.21 1 Day NAV Change as of Feb 17, 2024 -0.01 (-0.36%) Morningstar Rating We are currently experiencing technical difficulties with publishing our offer prices. Please call 0800 445522 if you require an up to date offer price for this fund. byve panamericano