Einzelwerte Lyxor MSCI USA ESG Broad CTB (DR) UCITS ETF - Dist - EUR

ETF

A0JMFG

FR0010296061

USAU

Schlusskurs London S.E. % 5 Tage % 1. Jan.
- USD -.--% Intraday Chart für Lyxor MSCI USA ESG Broad CTB (DR) UCITS ETF - Dist - EUR +2.62% +17.89%

Zusammensetzung des Lyxor MSCI USA ESG Broad CTB (DR) UCITS ETF - Dist - EUR

Gewichtung
209.7 USD -2.16%-1.61%+9.48%7,30%
444.3 USD -0.45%+0.65%+18.19%6,09%
184.8 USD +1.09%+0.61%+21.73%3,20%
135.1 USD -0.37%+5.75%+176.77%3,12%
181.9 USD -1.61%+0.13%-26.47%1,75%
499.8 USD +0.07%-0.65%+41.49%1,54%
894.8 USD +0.37%+1.61%+53.98%1,46%
481.5 USD +0.10%-3.44%-8.79%1,29%
175.9 USD +0.47%+0.46%+25.96%1,13%
274.9 USD +0.48%+1.22%+5.43%1,12%
146.7 USD +0.72%+0.85%-6.42%1,11%
197 USD +0.02%+1.67%+15.75%1,08%
450 USD -0.02%+0.99%+5.37%0,97%
1’753 USD -2.75%+5.00%+57.93%0,94%
129 USD +0.82%-0.19%+18.45%0,93%
350.1 USD -1.07%+0.66%+1.04%0,91%
45.38 USD +2.12%+3.40%-12.95%0,88%
246.1 USD +0.70%+0.68%+5.56%0,80%
192.5 USD -1.91%-1.73%+13.16%0,78%
528.8 USD +1.25%+15.03%-11.55%0,77%
46.48 USD +1.10%+2.47%-7.67%0,74%
248.6 USD -3.46%-2.28%+7.72%0,67%
172.3 USD +0.54%+3.43%+11.17%0,62%
42.16 USD +0.83%+1.41%+20.89%0,61%
241.3 USD +4.09%+5.20%-8.44%0,58%
143 USD -1.16%+2.25%+35.64%0,57%
172.7 USD +1.23%+2.06%+5.54%0,56%
40.3 USD +0.56%+1.29%+6.88%0,56%
305.8 USD +7.17%+8.22%-12.93%0,55%
66.72 USD +0.08%+1.72%+2.46%0,55%
27.84 USD +1.59%+0.47%-3.51%0,54%
40.7 USD -0.28%-1.64%-20.48%0,54%
39.98 USD -0.04%+1.68%+18.56%0,53%
32.78 USD +1.98%+3.37%-4.34%0,52%
169.7 USD +0.05%-0.83%-13.92%0,52%
37.46 USD +1.50%-0.36%-14.61%0,51%
33.06 USD +0.36%-2.34%-8.77%0,51%
19.82 USD +0.43%+0.18%+12.22%0,50%
97.22 USD -0.36%+2.17%+4.32%0,50%
105.9 USD +1.83%+2.24%-3.91%0,50%
72.09 USD +2.34%-1.40%+18.79%0,49%
101.1 USD -0.37%+1.16%+12.14%0,48%
109.5 USD -0.51%-2.65%-17.93%0,48%
223.8 USD +0.53%+0.71%-8.93%0,48%
67.68 USD +0.12%+1.38%+28.68%0,46%
681.5 USD -0.61%+4.51%+40.22%0,45%
162.1 USD +4.82%+2.78%+11.49%0,45%
442.6 USD +0.60%+0.49%+7.61%0,45%
306.9 USD +0.29%+2.93%+6.68%0,45%
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Beschreibung

ISIN Code FR0010296061
Verwaltungsgebühren 0.09%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI USA ESG CTB Broad Select Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
23.03.2006
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.10.2023 )

Volumen (EUR) 1 006 M€
Volumen 1M 1 058 M€
Volumen 3M 1 073 M€
Volumen 6M 1 002 M€
Volumen 12M 1 000 M€
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