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

ETF

A0JMFG

FR0010296061

LYUSA

Verzögert Swiss Exchange % 5 Tage % 1. Jan.
- USD -.--% Intraday Chart für Lyxor MSCI USA ESG Broad CTB (DR) UCITS ETF - Dist - EUR +2.82% +18.09%

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

Gewichtung
172.3 USD +1.18%+1.25%-11.11%7,30%
399 USD +2.49%-3.31%+5.18%6,09%
182.4 USD +4.24%+1.87%+18.39%3,20%
845.8 USD -2.11%+3.80%+67.01%3,12%
184.8 USD +0.85%+11.53%-27.23%1,75%
446.8 USD +3.86%-10.76%+24.42%1,54%
779.2 USD -0.24%+6.03%+33.18%1,46%
488.8 USD +1.05%-0.08%-7.52%1,29%
166 USD +1.98%+3.42%+17.81%1,13%
270.7 USD +0.77%-2.19%+3.33%1,12%
151.6 USD +4.84%+1.67%-3.66%1,11%
194 USD +1.18%-0.41%+13.04%1,08%
447.2 USD -0.89%-3.79%+4.32%0,97%
1’272 USD -2.16%-0.26%+12.30%0,94%
129.8 USD +0.42%+1.76%+18.55%0,93%
333.5 USD -0.21%-0.65%-4.54%0,91%
47.48 USD +0.01%-4.26%-9.65%0,88%
251.3 USD +3.88%+1.30%+7.23%0,80%
177.4 USD +0.54%+0.28%+2.84%0,78%
473.6 USD +2.32%-1.84%-21.50%0,77%
47.43 USD +0.96%-2.81%-6.99%0,74%
248 USD +0.57%-1.66%+6.45%0,67%
162.1 USD -0.31%-3.41%+4.58%0,62%
38.1 USD -0.69%-3.67%+8.56%0,61%
272.3 USD +1.24%-2.58%+2.25%0,58%
116.1 USD +2.06%-0.03%+9.36%0,57%
165.9 USD -0.17%-10.56%+0.67%0,56%
39.52 USD +0.06%-0.41%+4.32%0,56%
302.9 USD +0.68%-4.29%-14.48%0,55%
70.34 USD -0.18%-1.98%+7.75%0,55%
27.35 USD +6.75%+3.71%-5.37%0,54%
44.3 USD +0.82%-10.05%-14.34%0,54%
37.37 USD +0.97%-3.69%+9.61%0,53%
32.22 USD -1.23%-2.62%-6.92%0,52%
159.9 USD +0.39%+5.15%-19.62%0,52%
38.4 USD +0.77%-5.17%-13.04%0,51%
36.55 USD -2.46%-6.77%-0.14%0,51%
18.3 USD +0.08%-3.22%+3.20%0,50%
92.12 USD +1.41%-2.89%-2.26%0,50%
106.9 USD +0.90%-0.43%-3.31%0,50%
68.56 USD +2.37%+2.22%+12.02%0,49%
111.6 USD +0.48%-2.90%+22.51%0,48%
103 USD +0.93%-1.35%-23.64%0,48%
236.7 USD -0.19%+1.37%-4.26%0,48%
59.26 USD -0.15%-1.34%+12.41%0,46%
556.9 USD +1.13%-0.56%+13.37%0,45%
146.5 USD -7.51%-5.12%-2.33%0,45%
448.3 USD +1.67%+0.32%+8.52%0,45%
277.7 USD +1.36%+0.87%-4.39%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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