Composizione Lyxor MSCI Dgtl Eco ESG Ftd (DR) ETF Acc

ETF

EBUY

LU2023678878

Prezzo di chiusura Euronext Paris 00:00:00 11/12/2023 Variaz. 5gg Var. 1 gen.
13,12 USD +0,84% Grafico intraday di Lyxor MSCI Dgtl Eco ESG Ftd (DR) ETF Acc +2,25% +30,20%

Composizione del Lyxor MSCI Dgtl Eco ESG Ftd (DR) ETF Acc

Peso
58,65 HKD +4,83%+19,35%+10,67%0.50%
7.590 JPY -0,62%+1,23%+3,14%0.48%
19,95 USD -0,94%-4,22%-12,58%0.42%
34,89 USD +0,20%-1,33%+18,35%0.40%
166,6 USD +0,79%-8,63%-6,91%0.40%
123,7 AUD +0,42%+1,73%+10,12%0.39%
19,24 USD +1,40%-2,36%-22,56%0.33%
90,74 AUD +2,18%-0,81%+20,55%0.31%
33,75 AUD +0,63%-0,18%+8,45%0.30%
149,2 USD -3,82%-4,43%-9,47%0.28%
24,55 USD +1,15%+4,16%-39,96%0.28%
82.470 JPY -0,53%+6,15%+8,86%0.27%
130,5 CAD +2,19%+0,87%+17,22%0.26%
119 USD +0,10%-2,22%-3,28%0.26%
756 JPY +0,13%-0,15%+20,38%0.25%
40,94 USD -1,44%+3,57%-1,92%0.25%
785 GBX -0,20%-7,30%-21,04%0.24%
23 USD -2,67%-0,30%+25,96%0.24%
773,5 GBX -0,39%-3,85%-11,50%0.23%
177,3 AUD +0,35%-2,39%-2,11%0.22%
4.678 JPY +0,41%+6,32%+12,80%0.22%
23,48 USD +1,36%-2,27%-20,37%0.22%
165,3 USD +0,84%-3,96%-15,79%0.21%
21,44 USD +1,47%-0,60%-21,87%0.21%
16,64 USD +0,91%-3,87%+30,61%0.21%
38,48 USD +1,72%+0,31%-19,53%0.19%
43,44 USD -0,71%-3,19%-4,06%0.19%
81,41 USD +1,19%-2,44%-3,26%0.18%
13,08 USD -2,68%-3,75%+9,73%0.18%
16,34 AUD +0,83%+0,06%+19,01%0.17%
16,35 USD +3,09%+2,89%-11,57%0.17%
87,09 USD +5,03%+15,58%+64,51%0.16%
6.927 JPY -3,27%-2,87%+3,13%0.16%
58,21 USD +1,11%-3,43%-26,03%0.15%
5,478 EUR -.--%+0,07%-26,03%0.14%
26,41 USD +1,50%-3,19%+3,12%0.14%
34,34 USD +0,70%+3,03%+12,22%0.12%
49,91 USD -1,07%-4,90%-18,77%0.12%
49,52 USD -1,18%-5,21%-26,30%0.12%
152,5 CAD +4,02%+0,51%+2,54%0.12%
18,25 USD +2,24%-1,46%-22,31%0.11%
57,94 USD -0,19%-3,32%-7,21%0.11%
64,9 USD +1,12%-0,09%-14,67%0.11%
76,05 USD -2,40%-2,97%-12,28%0.11%
9,804 EUR -3,60%-4,58%-37,43%0.10%
51,73 USD +0,66%-3,81%+19,17%0.10%
40,44 USD -3,48%-2,20%-23,88%0.10%
33,1 USD -1,28%-1,28%-16,48%0.10%
37,62 USD +0,24%-3,12%-8,11%0.10%
4.4Mk9SdjbUIsOoNe0BCLdmQrm_lhD6R4uj-bsa1FioRc.1axIfpqQGeR90JDGTW3r8l6FihQ5oCtH7avdLBMGmHakglsDja46uzbpoA

Descrizione

Codice ISIN LU2023678878
Spese di gestione (TER) 0.45%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante MSCI ACWI IMI Digital Economy & Metaverse ESG Filtered Net Total Return Index - USD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
23/02/2020
Politica dei dividendi
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 29/03/2024 )

AuM (EUR) 190 M€
AuM 1 mese 196 M€
AuM 3 mesi 188 M€
AuM 6 mesi 143 M€
AuM 12 mesi 124 M€
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