Log-in
E-Mail
Passwort
Merken
Passwort vergessen?
Werden Sie kostenlos Mitglied
Anmelden
Anmelden
Neukunde
Unser Angebot
Einstellungen
Einstellungen
Dynamische Kurse 
OFFON

MarketScreener Homepage  >  Investmentfonds  >  Italian Stock Exchange  >  Lyxor Privex UCITS ETF - EUR DIS       LU1812091947

LYXOR PRIVEX UCITS ETF - EUR DIS

verzögerte Kurse. Verzögert Italian Stock Exchange - 09.04. 17:35:09
7.251 EUR   +2.71%
 ÜbersichtKurseChartsUnternehmenStatistikEinzelwerte 
Kurse 1 Woche   verzögerte Kurse. Verzögert Italian Stock Exchange
03.04.2020 06.04.2020 07.04.2020 08.04.2020 09.04.2020 Datum
6.308(c) 6.665(c) 7.002(c) 7.06(c) 7.251 Kurs
-0.94% +5.66% +5.06% +0.83% +2.71% Veränderung
14 40 2 140 0 900 Volumen
Mehr Kurse

Chart LYXOR PRIVEX UCITS ETF - EUR DIS
Dauer : Zeitraum :
Lyxor Privex UCITS ETF - EUR DIS : Chartanalyse Lyxor Privex UCITS ETF - EUR DIS | MarketScreener
Vollbild-Chart
Toute l'actualité de la Zone économique

- Kein Artikel verfügbar -

Weitere Index-News
Alle aktuellen ETF-Nachrichten

- Kein Artikel verfügbar -

Weitere ETF-Nachrichten
News auf andere Sprachen zu LYXOR PRIVEX UCITS ETF - E

- Kein Artikel verfügbar -

Mehr News
Rating TrackInsight  TrackInsightTM ETF Ratings – Methodology
Anlageziel
The LYXOR PRIVEX UCITS ETF is a UCITS compliant exchange traded fund that aims to track the benchmark index Privex TR. The SGI Private Equity index is an equity index representing the 25 largest listed companies across the world involved in private equity activities such as leveraged buyouts, venture capital and growth capital operations. Private Equity investments are highly illiquid, and involve either a massive use of borrowed funds (Leveraged buyouts) or a burgeoning activity in early stages of development (Growth Capital, Venture Capital). As such, Private Equity investments are usually much riskier than average equity investments, but may also prove more rewarding. The index is calculated and compiled by Dow Jones Indexes, rebalanced every quarter with an index review every six months.
Anlagethemen
Anlageklassen Aktien
Geographische Zonen Welt
Branche Private Equity
Size All Caps
Development Developed
Weighting Schemes Market Cap Weighted
Beschreibung
Index ETF Private Equity Net Total Return Index - EUR (WM Reuters Conversion)
Währung EUR
Verwaltungsgebühren 0.7%
AuM (2020-04-07) 18.8 M EUR
Provider Lyxor
Merkmale und Eigenschaften
Jurisdiction Luxemburg
Structure SICAV
Erstellungsdatum 2007-01-05
Dividend Policy Distribution
Replication Method Indirect (Synthetic)
Replication Model Unfunded Swap
AuM evolution (2020-04-07)
Letzter 18.8 M EUR
1 Monat 44.24 M EUR
3 Monate 24.69 M EUR
6 Monate 40.04 M EUR
1 Jahr 23.37 M EUR