Samenstelling Leverage Shares 3x Long Total World ETP Securities - USD

ETF

VT3

XS2399364822

slotkoers Euronext Paris
- EUR - Intraday-grafiek van Leverage Shares 3x Long Total World ETP Securities - USD

Samenstelling van de Leverage Shares 3x Long Total World ETP Securities - USD

Gewicht
192,3 USD +0,54%+1,23%-0,11%3.69%
415,6 USD +0,23%-3,38%+10,52%2.99%
172,5 USD +0,23%-1,42%+23,49%1.88%
176,4 USD -1,60%-2,38%+16,13%1.74%
178,1 USD -0,39%-0,64%-28,32%1.16%
495,4 USD +2,85%-2,52%-5,91%0.78%
146,9 USD +1,09%-0,07%-6,30%0.70%
117,3 USD +2,93%+3,45%+17,36%0.62%
821 TWD -2,03%-5,31%+38,45%0.55%
467,3 USD +0,05%-2,29%+32,02%0.54%
1.096 USD -0,82%+2,94%+121,31%0.50%
164,5 USD +1,21%-0,48%+12,28%0.49%
820,3 USD +0,65%+1,60%+40,73%0.48%
162,4 USD +2,60%+2,94%+8,86%0.48%
272,5 USD +0,43%-0,74%+4,65%0.48%
202,6 USD +1,66%+0,96%+19,12%0.47%
95,56 CHF +1,51%+3,40%-2,00%0.46%
334,9 USD +1,74%+3,02%-3,36%0.46%
161,2 USD +3,15%+2,66%+4,05%0.44%
28,66 USD +1,63%-0,76%-0,45%0.41%
447,1 USD +1,12%-0,91%+4,82%0.39%
359,8 HKD -2,23%-4,56%+22,55%0.37%
125,5 USD +0,81%-3,05%+15,15%0.36%
809,9 USD -0,67%+0,02%+22,70%0.35%
172,9 USD +1,40%-2,88%+1,78%0.34%
40,02 USD +3,61%+0,82%+18,87%0.33%
62,93 USD +1,55%+1,50%+6,79%0.33%
73.500 KRW -.--%-3,16%-6,37%0.33%
65,76 USD +1,34%+0,58%+25,14%0.32%
568 USD +0,93%-2,75%+7,01%0.31%
104 USD +2,22%+2,16%+15,14%0.30%
2.812 GBX +0,52%+1,42%+9,33%0.30%
1.331 USD -2,45%-5,48%+19,20%0.29%
870,8 EUR -1,16%-1,10%+27,74%0.29%
258,9 USD +2,71%+0,30%-12,69%0.28%
12.190 GBX +1,35%-0,86%+15,00%0.27%
46,5 USD +0,82%+0,17%-7,96%0.27%
41,22 USD +2,22%+3,74%+9,35%0.27%
256,8 USD +1,61%-2,28%+11,01%0.27%
80,06 USD +2,39%+4,50%+31,81%0.26%
41,12 USD +2,17%-0,28%-19,85%0.26%
3.401 JPY +2,13%+0,24%+31,29%0.26%
102,2 USD +0,44%-1,69%-7,16%0.25%
59,92 USD +1,20%-0,48%+21,74%0.24%
282,4 USD -0,86%-6,19%-19,53%0.24%
234,4 USD +7,52%-13,92%-10,92%0.24%
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Beschrijving

ISIN-code XS2399364822
Totalekostenratio (TER) 3.75%
Activaklassen
Sector
Grootte
Valuta
Beheerder
Onderliggende waarde FTSE Global All Cap Net Tax (US RIC) Index - USD

Kenmerken

Rechtsgebied
Fondsstructuur
Methode van replicatie
Replicatiemodel
Aanmaakdatum
13-12-2021
Dividendbeleid
Geografisch zwaartepunt

Distributie

Individuele belegger

Veranderingen in de stand van zaken ( 30-04-2024 )

Volume (EUR) 0 M€
Volume 1 maand 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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