WISDOMTREE EUROPEAN OPPORTUNITIES FUND
 
 
 
 
基本資料
種類: ETF
費用比率%: 0.81
資產淨值: 980.43
成立日期: 04/03/2015
 
分析
市值分佈:
95.38%
大市值
1.67%
中市值
--
小市值
持股比例加總可能不達100%,原因包括ETF持有現金或衍生工具。
 
 
行業分佈 國家/地區分佈
 
投資組合
 (更新時間: 02/05/2026 06:10) 總持有投資項目: 86  
0%
 
100%
     10大 (21.41%)
代號 名稱 佔比% 持有日期
SBGSFSchneider Electric SE1.5428/04/2026
BFFAFBASF SE1.5228/04/2026
CPYYFCentrica Plc1.4928/04/2026
SMAWFSiemens AG1.4928/04/2026
SMGKFSmiths Group Plc1.4628/04/2026
FINMFLeonardo S.P.A.1.4128/04/2026
NBNKFNordea Bank Abp1.4028/04/2026
RBSPFNatWest Group plc1.3828/04/2026
BAESFBAE Systems PLC1.3528/04/2026
BDMXFBudimex S A1.3328/04/2026
HLBZFHEIDELBERG MATERIALS AG1.3228/04/2026
SKSBFSkanska AB1.3228/04/2026
SVKEFSkandinaviska Enskilda Banken AB1.2628/04/2026
TSCDFTesco PLC1.2428/04/2026
DPSTFDeutsche Post AG1.2028/04/2026
THLEFTHALES1.1328/04/2026
FMCQFFresenius Medical Care AG1.1228/04/2026
JSNSFJ Sainsbury plc1.1028/04/2026
NVSEFNovartis AG1.1028/04/2026
RXLSFRexel SA1.0728/04/2026
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