Einzelwerte Leverage Shares 3x Long Clean Energy ETP Securities - USD

ETF

A3GWD2

XS2399371017

3ICL

Schlusskurs Euronext Amsterdam
- EUR - Intraday Chart für Leverage Shares 3x Long Clean Energy ETP Securities - USD

Zusammensetzung des Leverage Shares 3x Long Clean Energy ETP Securities - USD

Gewichtung
113.5 USD -1.28%+7.56%-14.40%7,79%
191 DKK +2.00%+2.25%-10.85%7,47%
11.97 EUR +0.63%+3.41%+0.84%7,18%
98.06 USD +0.57%+3.40%+7.75%6,63%
57.6 USD -1.90%-1.24%-38.70%5,54%
192.7 USD -1.00%+8.44%+11.77%5,23%
431.1 DKK -0.44%+13.00%+15.17%3,73%
3.622 EUR +1.29%-0.33%-20.48%2,95%
1’773 INR +2.72%-1.37%+11.02%2,59%
2.535 USD -3.98%+9.57%-44.00%2,26%
1’984 JPY -0.63%-2.00%+8.95%2,06%
25.31 CNY -0.16%-1.86%+8.44%1,92%
11.54 USD -2.08%+13.95%-41.54%1,80%
5.54 HKD -5.14%+1.47%+21.49%1,79%
21.69 CAD +0.65%+1.50%-9.89%1,45%
68.6 USD +0.83%+4.23%-9.59%1,39%
13.72 EUR -0.51%+3.78%-25.94%1,25%
11.6 USD -1.49%+2.21%-21.89%1,17%
28’800 KRW +2.86%+12.50%-27.09%1,11%
10.3 BRL -19.10%-0.87%+16.64%1,10%
18.51 CNY -1.39%+1.70%-19.17%0,98%
69.25 EUR -3.15%-6.23%-17.61%0,97%
12.48 USD -6.80%-0.12%-25.92%0,94%
7.475 USD -15.06%-13.35%-52.61%0,92%
5.83 HKD -3.00%+1.57%-10.03%0,88%
36.39 USD -1.06%-0.76%+12.22%0,81%
29.14 CAD -1.55%+0.66%-13.57%0,68%
16.95 EUR +0.24%+0.24%+8.72%0,67%
104.5 CNY -2.28%+1.07%+19.26%0,66%
4.69 CNY -0.21%0.00%+7.32%0,66%
19.3 USD +0.10%-4.13%-23.51%0,62%
4.055 USD -8.26%+14.87%-73.41%0,62%
13.99 EUR +1.67%+2.57%+34.52%0,61%
21.62 USD +0.98%+3.32%+0.53%0,60%
52’500 KRW -3.14%0.00%-25.21%0,58%
14.24 CNY -2.60%+0.14%-31.27%0,57%
20.7 EUR +0.10%+5.50%-26.28%0,57%
0.0109 CHF -0.91%-1.80%-94.42%0,56%
2.185 USD -6.22%+4.81%-54.87%0,55%
10.9 EUR +0.37%+10.49%-41.43%0,53%
10.4 CNY -2.35%-0.29%-33.50%0,50%
90.99 CLP +1.44%+1.10%-6.68%0,50%
40.97 CAD +0.69%+15.74%+7.39%0,48%
19.98 EUR -3.94%-1.28%-33.13%0,47%
46.62 EUR -6.72%-6.23%-23.01%0,43%
26.46 EUR +0.99%+3.20%-8.32%0,41%
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Beschreibung

ISIN Code XS2399371017
Verwaltungsgebühren 3.75%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert S&P Global Clean Energy Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
14.12.2021
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.11.2023 )

Volumen (EUR) 0 M€
Volumen 1M 0 M€
Volumen 3M 0 M€
Volumen 6M 0 M€
Volumen 12M 0 M€
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