Einzelwerte Leverage Shares 3x Long Total World ETP Securities - USD

ETF

A3GWC0

XS2399364822

VT3

Schlusskurs Euronext Paris
- EUR - Intraday Chart für Leverage Shares 3x Long Total World ETP Securities - USD

Zusammensetzung des Leverage Shares 3x Long Total World ETP Securities - USD

Gewichtung
207.5 USD -1.04%-2.35%+7.77%3,69%
449.8 USD +0.92%+1.63%+19.61%2,99%
179.6 USD +1.89%+1.61%+28.59%1,88%
189.1 USD +1.60%+2.95%+24.44%1,74%
183 USD +0.79%+2.81%-26.35%1,16%
482.6 USD -0.40%-2.92%-8.33%0,78%
148.8 USD +0.66%+2.21%-5.10%0,70%
110.8 USD -0.88%+1.51%+10.78%0,62%
970 TWD -1.12%+5.21%+63.58%0,55%
494.8 USD -1.38%-1.86%+39.78%0,54%
127.1 USD -2.81%-3.62%+156.65%0,50%
168.3 USD +0.35%+0.88%+14.82%0,49%
883.9 USD -0.24%+0.62%+51.63%0,48%
155.3 USD -0.87%+1.78%+4.10%0,48%
275.2 USD -0.58%+1.68%+5.71%0,48%
196.3 USD -1.19%+1.30%+15.40%0,47%
93.7 CHF -1.26%-1.66%-3.91%0,46%
355.8 USD +0.67%+2.58%+2.67%0,46%
170.4 USD -1.01%+1.07%+9.95%0,44%
27.74 USD 0.00%+0.76%-3.65%0,41%
454.8 USD +0.52%+2.30%+6.64%0,39%
381.4 HKD -1.60%+0.42%+29.90%0,37%
130.7 USD +0.81%+0.96%+19.90%0,36%
848.3 USD -1.64%-0.86%+28.52%0,35%
167.3 USD +0.36%+2.12%-1.51%0,34%
39.49 USD -1.25%+0.64%+17.29%0,33%
62.77 USD +0.95%+0.35%+6.52%0,33%
80’000 KRW -1.96%+0.50%+1.91%0,33%
67.91 USD -0.15%+1.33%+29.23%0,32%
564.6 USD +1.33%-1.30%+6.37%0,31%
102.3 USD +0.42%+2.30%+13.27%0,30%
2’777 GBX +0.34%+2.43%+7.99%0,30%
1’659 USD -4.38%-4.40%+48.59%0,29%
963.4 EUR -2.58%+1.09%+41.32%0,29%
259.4 USD +2.20%+2.29%-12.52%0,28%
12’472 GBX +0.60%-0.30%+17.66%0,27%
47.29 USD +1.22%+3.52%-6.39%0,27%
40.24 USD 0.00%+1.44%+6.74%0,27%
255 USD +2.57%+0.04%+10.21%0,27%
72.81 USD +0.48%-0.34%+19.87%0,26%
41.93 USD +2.17%+1.77%-18.28%0,26%
3’074 JPY -0.32%-1.35%+18.66%0,26%
105.7 USD -0.80%+1.97%-3.95%0,25%
309 USD +0.92%+7.77%-11.95%0,24%
245.1 USD +1.35%+5.66%-6.87%0,24%
7c2736c.RveiXM-bCbFNYJqrwu8q4DAkQYhp6WIB92IQ94Or8qE.cLKPHv3Tf5wYFqL0nZtur1dUA-YhkDt2rgRArvWGne43r_Vrg-9Byywjog

Beschreibung

ISIN Code XS2399364822
Verwaltungsgebühren 3.75%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert FTSE Global All Cap Net Tax (US RIC) Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
14.12.2021
Dividenden-Politik
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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