Einzelwerte Lyxor F.A.Z. 100 Index (DR) UCITS ETF - EUR

ETF

ETF006

LU0650624025

CBFAZ

Verzögert Swiss Exchange % 5 Tage % 1. Jan.
- EUR -.--% Intraday Chart für Lyxor F.A.Z. 100 Index (DR) UCITS ETF - EUR +2.48% +11.10%

Zusammensetzung des Lyxor F.A.Z. 100 Index (DR) UCITS ETF - EUR

Gewichtung
170.2 EUR -3.05%+0.60%+22.02%9,50%
173.7 EUR -0.54%-1.04%+2.22%6,47%
21.67 EUR -0.46%+3.44%-0.37%5,99%
262.7 EUR -1.50%+0.27%+8.58%5,54%
73.22 EUR -1.08%-2.13%+17.06%4,51%
105 EUR -1.41%-1.78%+4.24%3,33%
38 EUR -1.14%-0.76%-15.28%3,23%
26.9 EUR -0.28%+2.50%-20.03%3,03%
170.3 EUR -2.52%+17.53%+26.15%3,03%
423.2 EUR -1.72%+2.47%+12.82%2,95%
89.44 EUR -2.12%-0.73%+11.94%2,71%
50.99 EUR -0.64%-0.16%+4.53%2,63%
32.56 EUR +3.60%+5.42%-13.86%2,63%
181.4 EUR +0.42%-2.94%-2.71%1,96%
41.95 EUR -2.17%-4.77%+23.31%1,80%
139 EUR +0.32%+2.54%+2.47%1,79%
226.4 EUR -0.57%+0.22%+22.94%1,79%
86.71 USD -1.57%+0.63%-17.84%1,76%
12.45 EUR -0.32%+1.55%+2.47%1,73%
31.89 EUR +0.73%-1.39%-22.56%1,73%
227.7 EUR -1.90%-0.87%+5.27%1,43%
118.8 EUR -1.08%-2.58%+6.26%1,32%
16.66 EUR +8.18%+12.57%+34.75%1,21%
150.1 EUR -1.48%+2.28%+4.16%1,20%
27.18 EUR -0.51%+1.99%-3.17%1,01%
25.24 EUR -0.43%+1.16%-11.56%0,99%
69.75 EUR -0.92%+1.53%+7.89%0,98%
93.1 EUR -0.58%-1.48%+15.02%0,86%
62.08 EUR -1.83%-2.24%-19.29%0,85%
14.06 EUR +1.44%+5.16%+30.62%0,80%
37.79 EUR -3.00%+3.73%-0.45%0,80%
72.58 EUR -0.03%+0.95%-0.38%0,78%
99.92 EUR -4.02%-3.55%+0.28%0,75%
282.1 EUR -3.72%+1.15%-15.34%0,75%
220.1 EUR -1.52%+3.14%+12.73%0,74%
75.66 EUR -0.53%+0.21%-9.08%0,72%
6.65 EUR -0.48%-0.12%-17.37%0,65%
69.3 EUR -1.35%+0.58%+17.86%0,63%
17.8 EUR +0.11%-0.25%+48.33%0,63%
42.1 EUR -0.73%-2.37%-16.67%0,62%
33.9 EUR -2.45%-2.45%+59.01%0,62%
100.9 EUR -2.70%-4.90%+0.60%0,52%
47.76 EUR -0.69%-4.38%-9.34%0,51%
19 EUR -0.52%-1.40%+2.70%0,50%
30.79 EUR +6.43%+7.54%+23.11%0,49%
99 EUR -1.39%+1.38%+0.16%0,49%
790 EUR -0.94%-0.69%+12.94%0,49%
24.98 EUR -1.61%-7.69%+16.46%0,48%
48.94 EUR -0.81%-0.89%+5.66%0,46%
36.92 EUR -0.91%-0.27%-2.04%0,45%
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Beschreibung

ISIN Code LU0650624025
Verwaltungsgebühren 0.15%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert F.A.Z. Price Index - EUR

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
28.09.2011
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.10.2023 )

Volumen (EUR) 79 M€
Volumen 1M 82 M€
Volumen 3M 95 M€
Volumen 6M 92 M€
Volumen 12M 75 M€
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  4. Einzelwerte Lyxor F.A.Z. 100 Index (DR) UCITS ETF - EUR