Einzelwerte Lyxor MSCI Smt Cts ESG Ftd (DR) ETF Acc

ETF

IQCT

LU2023679256

IQCT

Schlusskurs Euronext Paris 00:00:00 11.12.2023 % 5 Tage % 1. Jan.
13.77 USD +1.00% Intraday Chart für Lyxor MSCI Smt Cts ESG Ftd (DR) ETF Acc +1.89% +16.06%

Zusammensetzung des Lyxor MSCI Smt Cts ESG Ftd (DR) ETF Acc

Gewichtung
12’920 JPY +2.26%+1.10%+54.77%1,36%
34.71 USD -0.69%-3.74%+17.74%1,36%
88.01 USD +1.44%+4.65%+5.71%1,34%
252.2 USD +0.17%+2.06%+23.11%1,32%
242.6 USD -1.01%+3.80%+10.75%1,30%
1’344 USD +3.84%+11.57%+20.41%1,29%
91.15 USD +1.39%+6.72%+23.39%1,28%
64.18 USD +0.23%+1.23%+9.65%1,27%
57.32 USD +1.00%+5.82%+41.85%1,26%
82.3 BRL +1.17%-2.59%+9.19%1,25%
297.2 USD +1.60%+10.87%+8.74%1,25%
41.22 USD +1.08%+3.15%+19.31%1,24%
19.46 USD +0.26%+3.79%-21.66%1,24%
45.33 USD +1.09%+4.59%+0.11%1,24%
217.4 EUR +2.81%+4.29%+19.57%1,23%
44.94 CHF +0.97%+0.67%+20.48%1,19%
220.7 USD -1.17%-2.81%+1.64%1,18%
163.5 USD -1.03%-0.93%+9.52%1,18%
45.99 USD +1.34%+2.59%-0.15%1,17%
121.5 USD +1.35%+4.55%+20.30%1,17%
120.5 USD +1.24%+9.37%+21.55%1,17%
180.2 USD +0.59%+6.08%+17.14%1,16%
88.53 USD +1.40%+7.94%+6.42%1,15%
86.25 EUR +4.55%+6.02%+10.01%1,13%
177.5 USD -0.24%-0.11%+7.65%1,13%
92.29 USD -0.69%+0.28%+1.94%1,12%
210.1 USD -1.22%+1.46%+17.31%1,12%
7’312 JPY +1.33%+3.31%+8.86%1,11%
116.8 USD +1.79%+11.32%+3.68%1,10%
65.11 USD +1.02%+2.28%+12.96%1,09%
39.68 USD +1.17%-2.00%+5.25%1,09%
114.1 USD +4.79%+18.92%+5.17%1,08%
151.2 USD -1.14%-4.27%-1.04%1,08%
40.61 USD +2.06%+5.59%-2.71%1,08%
92.2 USD -0.88%-3.06%+3.05%1,07%
191.9 USD -0.85%+1.14%+16.38%1,06%
1’005 TWD +2.45%+1.21%-0.99%1,05%
99 USD +1.48%+4.70%+13.77%1,04%
83.21 USD +0.47%-3.32%+0.93%1,04%
2’393 JPY -0.17%-2.64%+19.71%1,03%
20.63 USD +0.39%+0.63%-9.60%1,03%
68.06 USD +2.53%+12.11%-18.52%1,03%
45.27 EUR +2.86%+5.52%+0.24%1,02%
280.1 USD +1.14%+3.76%-9.78%1,01%
201.5 USD +0.04%-0.84%-3.28%1,01%
2’737 JPY +0.90%+4.09%+29.68%1,00%
97.84 EUR +2.24%+2.47%+3.97%1,00%
51.87 CAD -0.25%-2.15%-16.38%0,99%
34.98 USD +1.75%+3.80%-6.89%0,99%
60.5 USD +1.15%+13.02%+5.31%0,99%
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Beschreibung

ISIN Code LU2023679256
Verwaltungsgebühren 0.45%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI ACWI IMI Smart Cities ESG Filtered Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
01.03.2020
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 29.03.2024 )

Volumen (EUR) 78 M€
Volumen 1M 78 M€
Volumen 3M 77 M€
Volumen 6M 75 M€
Volumen 12M 66 M€
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  4. Einzelwerte Lyxor MSCI Smt Cts ESG Ftd (DR) ETF Acc