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Hsbc Msci Jpn

Hsbc Msci Jpn (HMJP)

3.148,50
0,00
( 0,00% )
Aktualisiert: 12:27:16

Echtzeit-Diskussionen und Handelsideen: Handeln Sie mit Zuversicht mit unserer leistungsstarken Plattform.

Wichtige Statistiken und Details

Current Price
3.148,50
Gebot
3.152,00
Fragen
3.154,00
Volumen
7.316
0,00 Tagesbereich 0,00
0,00 52-Wochen-Bereich 0,00
Marktkapitalisierung
Handelsende
3.148,50
Handelsbeginn
-
Letzter Handelszeitpunkt
11:20:02
Finanzvolumen
230.822p
VWAP
3.155,03
Durchschnittliches Volumen (3 Mio.)
-
Ausgegebene Aktien
19.262.728.000
Dividendenrendite
-
Kurs-Gewinn-Verhältnis
28,25
Gewinn pro Aktie (EPS)
1,22
Erlöse
65,91B
Nettogewinn
23,53B

Über Hsbc Msci Jpn

Sektor
Offices-bank Holding Company
Branche
Offices-bank Holding Company
Website
Hauptsitz
London, Gbr
Gegründet
-
Hsbc Msci Jpn is listed in the Offices-bank Holding Company sector of the Londoner Börse with ticker HMJP. The last closing price for Hsbc Msci Jpn was 3.148,50p. Over the last year, Hsbc Msci Jpn shares have traded in a share price range of 0,00p to 0,00p.

Hsbc Msci Jpn currently has 19.262.728.000 shares in issue. The market capitalisation of Hsbc Msci Jpn is £606,49 billion. Hsbc Msci Jpn has a price to earnings ratio (PE ratio) of 28.25.

HMJP Neueste Nachrichten

HSBC ETFs MSCI Japan UCITS ETF $ Net Asset Value(s)

HSBC ETFs MSCI Japan UCITS ETF $ 24 January 2024 Share Fund: HSBC Redeemed MSCI JAPAN since UCITS Valuation Shares in Previous NET Asset NAV per Ex Dividend ETF Date ISIN Code Issue Currency...

HSBC ETFs MSCI Japan UCITS ETF $ Net Asset Value(s)

HSBC ETFs MSCI Japan UCITS ETF $ 23 January 2024 Share Fund: HSBC Redeemed MSCI JAPAN since UCITS Valuation Shares in Previous NET Asset NAV per Ex Dividend ETF Date ISIN Code Issue Currency...

HSBC ETFs MSCI Japan UCITS ETF $ Net Asset Value(s)

HSBC ETFs MSCI Japan UCITS ETF $ 22 January 2024 Share Fund: HSBC Redeemed MSCI JAPAN since UCITS Valuation Shares in Previous NET Asset NAV per Ex Dividend ETF Date ISIN Code Issue Currency...

HSBC ETFs MSCI Japan UCITS ETF $ Net Asset Value(s)

HSBC ETFs MSCI Japan UCITS ETF $ 19 January 2024 Share Fund: HSBC Redeemed MSCI JAPAN since UCITS Valuation Shares in Previous NET Asset NAV per Ex Dividend ETF Date ISIN Code Issue Currency...

HSBC ETFs MSCI Japan UCITS ETF $ Net Asset Value(s)

HSBC ETFs MSCI Japan UCITS ETF $ 18 January 2024 Share Fund: HSBC Redeemed MSCI JAPAN since UCITS Valuation Shares in Previous NET Asset NAV per Ex Dividend ETF Date ISIN Code Issue Currency...

HSBC ETFs MSCI Japan UCITS ETF $ Net Asset Value(s)

HSBC ETFs MSCI Japan UCITS ETF $ 17 January 2024 Fund: HSBC Share MSCI Redeemed JAPAN since Ex UCITS Valuation Shares Previous NET Asset NAV per Dividend ETF Date ISIN Code in Issue Currency...

HSBC ETFs MSCI Japan UCITS ETF $ Net Asset Value(s)

HSBC ETFs MSCI Japan UCITS ETF $ 16 January 2024 Share Fund: HSBC Redeemed MSCI JAPAN since UCITS Valuation Shares in Previous NET Asset NAV per Ex Dividend ETF Date ISIN Code Issue Currency...

HSBC ETFs MSCI Japan UCITS ETF $ Net Asset Value(s)

HSBC ETFs MSCI Japan UCITS ETF $ 15 January 2024 Share Fund: HSBC Redeemed MSCI JAPAN since UCITS Valuation Shares in Previous NET Asset NAV per Ex Dividend ETF Date ISIN Code Issue Currency...

HSBC ETFs MSCI Japan UCITS ETF $ Net Asset Value(s)

HSBC ETFs MSCI Japan UCITS ETF $ 12 January 2024 Share Fund: HSBC Redeemed MSCI JAPAN since UCITS Valuation Shares in Previous NET Asset NAV per Ex Dividend ETF Date ISIN Code Issue Currency...

HSBC ETFs MSCI Japan UCITS ETF $ Net Asset Value(s)

HSBC ETFs MSCI Japan UCITS ETF $ 11 January 2024 Share Fund: HSBC Redeemed MSCI JAPAN since UCITS Valuation Shares in Previous NET Asset NAV per Ex Dividend ETF Date ISIN Code Issue Currency...

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10000000SP
40000000SP
120000000SP
260000000SP
520000000SP
1560000000SP
2600000000SP
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