Einzelwerte Leverage Shares 3x Long Japan ETP Securities - USD

ETF

A3GZVG

XS2472196844

3JPE

Markt geschlossen - London S.E. 17:35:00 02.07.2024
958.7 GBX +3.69% Intraday Chart für Leverage Shares 3x Long Japan ETP Securities - USD

Zusammensetzung des Leverage Shares 3x Long Japan ETP Securities - USD

Gewichtung
3’333 JPY +1.49%+5.81%+28.66%4,65%
13’960 JPY +1.53%+8.01%+4.10%3,08%
1’811 JPY +3.54%+14.66%+49.48%2,54%
71’090 JPY +0.37%+1.85%+14.44%2,42%
5’646 JPY +4.04%+3.75%+45.82%1,78%
11’010 JPY +1.62%+9.77%+60.03%1,66%
10’550 JPY +0.43%+5.81%+67.65%1,63%
3’746 JPY +0.75%+11.82%+84.17%1,57%
4’381 JPY +0.83%+3.82%-2.34%1,55%
4’217 JPY +0.60%+2.98%+4.02%1,50%
8’875 JPY +1.44%+4.50%+20.60%1,49%
8’687 JPY +2.59%+6.79%+45.68%1,48%
6’300 JPY +0.99%+4.67%+6.47%1,47%
35’050 JPY +0.66%+0.17%+38.78%1,41%
3’769 JPY +1.98%+1.93%+42.28%1,34%
3’343 JPY +2.61%+9.68%+48.35%1,30%
6’342 JPY +3.17%+14.89%+79.71%1,25%
22’180 JPY +0.14%-2.89%-3.50%1,23%
8’010 JPY +1.87%+10.03%+38.89%1,20%
1’735 JPY -1.45%+2.78%+18.35%1,19%
41’380 JPY +2.12%+2.27%+18.26%1,12%
19’410 JPY +4.52%+3.88%+10.13%1,10%
156.2 JPY 0.00%+4.55%-9.34%1,09%
3’465 JPY +1.67%+10.81%+43.63%1,08%
2’005 JPY +0.70%+1.96%+13.95%1,04%
1’974 JPY +0.69%+1.73%+5.82%1,03%
4’498 JPY +0.25%-0.04%-14.34%0,92%
4’466 JPY +1.20%+4.88%+7.69%0,92%
3’364 JPY +2.87%+0.57%+12.40%0,91%
1’588 JPY -0.03%+1.63%-5.81%0,90%
2’590 JPY +1.31%+6.26%+21.74%0,84%
77’900 JPY +1.09%+2.74%+2.82%0,78%
4’432 JPY +0.39%-0.14%+21.59%0,77%
7’076 JPY -0.62%-4.99%+24.25%0,74%
2’528 JPY -0.55%-1.98%+23.92%0,70%
4’613 JPY +3.45%+12.90%+54.18%0,70%
4’449 JPY +0.95%+1.85%+22.90%0,69%
2’539 JPY +0.47%+4.38%+19.37%0,69%
4’859 JPY +1.65%+7.19%+31.75%0,65%
6’319 JPY +0.38%-0.72%+8.20%0,65%
1’649 JPY +1.79%+7.04%+30.92%0,64%
4’588 JPY -0.48%-2.38%+7.90%0,62%
2’614 JPY +2.21%+4.14%+30.74%0,62%
3’624 JPY +1.40%+5.87%+36.45%0,61%
6’472 JPY +0.02%-3.70%+11.59%0,61%
1’323 JPY +0.38%+1.50%-5.26%0,60%
4’116 JPY +2.01%+6.58%+33.81%0,60%
2’619 JPY +2.79%+1.24%+13.33%0,58%
3’766 JPY +0.37%+2.39%+33.34%0,58%
3’093 JPY +3.53%+5.69%+38.79%0,57%
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Beschreibung

ISIN Code XS2472196844
Verwaltungsgebühren 3.75%
Anlageklassen Actions
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI Daily Net Total Return Japan Index - USD

Merkmale

Dividenden-Politik Capitalisation
Replikationsmethode Physique
Gerichtsstand
Fondsstruktur
Replikationsmodell
Erstellungsdatum
09.06.2022
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

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