Einzelwerte Leverage Shares -3x Short US Tech 100 ETP Securities - USD

ETF

A3GWCX

XS2399364319

QQ3S

Markt geschlossen - BOERSE MUENCHEN 21:47:00 14.06.2024
1.216 EUR +0.15% Intraday Chart für Leverage Shares -3x Short US Tech 100 ETP Securities - USD

Zusammensetzung des Leverage Shares -3x Short US Tech 100 ETP Securities - USD

Gewichtung
442.6 USD +0.22%+4.42%+17.69%12,64%
212.5 USD -0.82%+7.92%+10.37%11,72%
183.7 USD -0.09%-0.35%+20.88%6,07%
176.8 USD +0.93%+1.34%+26.56%3,80%
131.9 USD +1.75%+9.09%+166.31%3,29%
178 USD -2.44%+0.30%-28.36%2,72%
504.2 USD +0.11%+2.27%+42.43%2,48%
163.8 USD +0.29%-4.23%-3.55%2,30%
1’735 USD +3.34%+23.35%+55.43%2,07%
855.7 USD +1.15%+1.19%+29.63%1,85%
45.68 USD +0.35%-0.35%-9.58%1,79%
176 USD +0.50%-2.13%+9.77%1,59%
525.3 USD +14.51%+12.87%-11.95%1,44%
37.44 USD -0.37%-3.90%-14.62%1,39%
193.9 USD -1.21%-0.87%+13.75%1,37%
208.5 USD -0.05%-0.12%-0.56%1,32%
298.6 USD +0.04%-2.10%+3.68%1,29%
669.4 USD +2.47%+4.35%+37.48%1,19%
215.3 USD -1.14%+4.22%+48.88%1,13%
79.65 USD -0.74%-2.19%-17.04%1,05%
595.7 USD +0.18%+3.80%-4.69%1,01%
30.45 USD -0.03%-0.94%-39.40%0,99%
65.06 USD +3.62%+0.56%-19.69%0,98%
159.6 USD -0.17%-4.91%+8.29%0,96%
242.6 USD -0.10%-3.84%+4.14%0,92%
425.8 USD +0.68%+1.96%+26.21%0,87%
65.85 USD -0.38%-2.89%-9.08%0,84%
237 USD -0.22%+6.90%+46.25%0,77%
231.2 USD -1.21%-1.52%+16.43%0,77%
60.64 USD -1.47%-9.90%-1.26%0,74%
1’037 USD +0.97%+3.35%+18.02%0,71%
3’859 USD +0.08%+1.21%+8.79%0,71%
480.7 USD +0.35%-0.48%+18.15%0,68%
140 USD -3.58%-7.27%+40.80%0,63%
32.18 USD -1.08%-1.74%-7.18%0,60%
148.9 USD +0.46%-1.64%+12.12%0,59%
1’036 USD -0.24%+7.61%+32.27%0,53%
141.4 USD -1.24%+7.96%+65.64%0,50%
824.8 USD -0.63%+7.27%+41.90%0,49%
48.03 USD -1.42%-8.84%-16.63%0,49%
276.3 USD +0.76%-0.21%-28.92%0,48%
1’007 USD +1.16%+2.92%+6.02%0,48%
34.04 USD -0.06%-1.70%+2.16%0,47%
32.38 USD -0.49%-5.84%-12.44%0,46%
88 USD +0.11%-0.34%+8.35%0,45%
590.2 USD +0.63%+3.28%+14.62%0,45%
239.4 USD -0.42%+3.61%+6.18%0,43%
96ac8aab32434dca10d5756e6.GNrbs21rWGviAiG-SktIKgZYkaWGyYSP9ZaBbTroS4g.Qq6T6SgiIBi6b2nnfQIJc2Q1oe7xj-DIwO7gKAqZcuBJi4rAJzkRAr1LaA

Beschreibung

ISIN Code XS2399364319
Verwaltungsgebühren 4.18%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert NASDAQ-100 Total Return 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) 3 M€
Volumen 1M 3 M€
Volumen 3M 3 M€
Volumen 6M 2 M€
Volumen 12M 2 M€
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