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
174 EUR +2.23%+4.95%+24.75%9,50%
177.6 EUR +2.26%+2.69%+4.53%6,47%
21.85 EUR +0.83%+3.26%+0.46%5,99%
265.5 EUR +1.07%+0.87%+9.73%5,54%
74.36 EUR +1.56%+0.30%+18.88%4,51%
106.4 EUR +1.29%+0.52%+5.58%3,33%
38.84 EUR +2.21%+1.30%-13.41%3,23%
27.4 EUR +1.88%+4.08%-18.53%3,03%
167.8 EUR -1.47%+10.18%+24.30%3,03%
413.5 EUR -2.29%-0.36%+10.24%2,95%
89.8 EUR +0.40%-0.13%+12.39%2,71%
48.82 EUR -4.25%-3.20%+0.09%2,63%
33.03 EUR +1.44%+9.61%-12.62%2,63%
182.6 EUR +0.66%-1.96%-2.06%1,96%
42.9 EUR +2.26%-1.49%+26.10%1,80%
140.5 EUR +1.04%+3.46%+3.54%1,79%
230.9 EUR +1.99%+2.80%+25.38%1,79%
87.21 USD +0.58%+0.46%-17.37%1,76%
12.41 EUR -0.32%+0.24%+2.14%1,73%
32.19 EUR +0.94%-0.80%-21.83%1,73%
230.4 EUR +1.19%+0.17%+6.52%1,43%
120.1 EUR +1.09%-0.91%+7.42%1,32%
16.53 EUR -0.77%+10.55%+33.71%1,21%
151.8 EUR +1.10%+3.94%+5.31%1,20%
27.21 EUR +0.11%+1.15%-3.06%1,01%
25.87 EUR +2.50%+2.70%-9.36%0,99%
71.3 EUR +2.22%+4.55%+10.29%0,98%
95.22 EUR +2.28%+2.23%+17.64%0,86%
62.5 EUR +0.68%+0.22%-18.75%0,85%
14.1 EUR +0.36%+5.46%+31.09%0,80%
37.42 EUR -0.98%+2.18%-1.42%0,80%
73.16 EUR +0.80%+1.30%+0.41%0,78%
99.86 EUR -0.06%-5.26%+0.22%0,75%
290.2 EUR +2.87%+6.85%-12.91%0,75%
223.4 EUR +1.50%+5.43%+14.42%0,74%
74.86 EUR -1.06%+0.43%-10.05%0,72%
6.696 EUR +0.69%-0.30%-16.80%0,65%
69.95 EUR +0.94%+2.72%+18.96%0,63%
18.85 EUR +5.90%+6.98%+57.08%0,63%
43.71 EUR +3.82%+2.70%-13.48%0,62%
32.7 EUR -3.54%-4.11%+53.38%0,62%
98.9 EUR -1.98%-5.72%-1.40%0,52%
48.07 EUR +0.65%-0.89%-8.75%0,51%
19.16 EUR +0.82%-0.70%+3.54%0,50%
25.86 EUR -16.01%-7.94%+3.40%0,49%
100.3 EUR +1.31%+2.66%+1.48%0,49%
803 EUR +1.65%+2.23%+14.80%0,49%
25.3 EUR +1.28%-6.02%+17.95%0,48%
49.35 EUR +0.84%+0.78%+6.54%0,46%
37.42 EUR +1.35%+0.81%-0.72%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