Einzelwerte Lyxor MSCI Mlnl ESG Ftd (DR) ETF Acc

ETF

MILL

LU2023678449

MILL

Schlusskurs Euronext Paris 00:00:00 11.12.2023 % 5 Tage % 1. Jan.
14.13 USD +0.62% Intraday Chart für Lyxor MSCI Mlnl ESG Ftd (DR) ETF Acc +1.37% +16.08%

Zusammensetzung des Lyxor MSCI Mlnl ESG Ftd (DR) ETF Acc

Kurs
%
% 5 Tage
% 1 Jahr
Gewichtung
74 USD +2.45%+6.44%+30.26%-.--%
43.39 AUD +1.90%-1.94%-12.41%-.--%
38.18 USD -2.30%-4.14%+9.56%-.--%
63.04 USD -0.10%-0.05%-16.34%-.--%
13.44 USD -0.59%+1.05%-4.07%-.--%
148.9 USD +0.60%+0.49%+53.89%-.--%
3’096 JPY +0.65%-0.99%+8.06%-.--%
7.38 USD +1.65%+0.14%-17.73%-.--%
390.6 USD +0.31%-18.42%+21.96%1,76%
1’160 TWD -0.43%+1.75%+51.44%1,66%
4’016 CHF +0.02%-2.10%+39.06%1,66%
3’628 USD -1.24%-0.55%+42.54%1,66%
66.99 USD +0.63%+1.29%-7.85%1,63%
254.7 USD +0.55%-2.40%+33.96%1,63%
146.8 USD -0.29%-0.29%+42.29%1,58%
180.4 USD +0.31%+1.25%+85.50%1,57%
282 USD -0.02%-0.56%+2.21%1,57%
57.13 USD +0.40%+0.19%+16.78%1,56%
90.05 USD +0.11%+1.44%+20.87%1,55%
1’512 USD -0.70%-2.81%+26.34%1,55%
207 EUR +1.12%+3.92%+46.62%1,54%
3’976 GBX +0.34%+1.75%-5.64%1,52%
43.35 USD +0.65%+1.07%+18.93%1,52%
61.18 USD +0.25%+1.17%-0.39%1,52%
138.6 USD +0.97%+1.52%+7.90%1,51%
56.46 EUR +0.37%+2.99%-3.42%1,51%
171.5 USD -1.06%+0.06%+8.77%1,50%
93.98 USD -0.16%-6.78%-20.27%1,49%
1’951 JPY +0.52%-4.60%+23.91%1,49%
59.89 EUR +0.27%+1.25%+5.51%1,49%
95.75 CHF -0.26%+0.83%-13.16%1,48%
70 USD -0.14%-3.06%+0.59%1,46%
903.6 USD +0.12%-1.18%+242.13%1,45%
69.97 USD +0.45%+1.76%-17.46%1,45%
1’568 EUR -0.13%+4.17%+14.52%1,45%
14.94 HKD +1.22%+1.22%+23.06%1,45%
504.6 USD +0.04%-1.30%+35.14%1,44%
626.6 USD +0.52%+0.97%+55.38%1,42%
122.4 USD +1.14%+4.85%+29.04%1,41%
148.5 USD +1.07%-2.42%+28.51%1,39%
29.08 EUR +1.38%+4.23%-9.29%1,30%
303.8 HKD +0.60%+4.33%-19.67%1,29%
3’358 ZAR +1.69%+7.76%+2.64%1,28%
52.78 USD +1.66%+1.50%+23.12%1,19%
79.45 USD +0.43%-1.18%+23.03%1,16%
1’331 SEK +2.24%-3.20%+1.43%1,10%
96.8 HKD +6.26%+4.88%-28.08%1,06%
108.3 USD +0.40%+2.03%-4.40%0,94%
105.4 CHF -0.66%-0.49% - 0,94%

Beschreibung

ISIN Code LU2023678449
Verwaltungsgebühren 0.45%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI ACWI IMI Millennials ESG Filtered Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
09.03.2020
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 29.02.2024 )

Volumen (EUR) 100 M€
Volumen 1M 94 M€
Volumen 3M 51 M€
Volumen 6M 47 M€
Volumen 12M 46 M€
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