Samenstelling Lyxor Core UK Equity All Cap (DR) UCITS ETF - Dist - GBP

ETF

LCUK

LU1781541096

Vertraagde tijd Berne S.E. Variatie 5 dagen Verschil t.o.v. 1 jan (%)
- CHF -.--% Intraday-grafiek van Lyxor Core UK Equity All Cap (DR) UCITS ETF - Dist - GBP -.--% -.--%

Samenstelling van de Lyxor Core UK Equity All Cap (DR) UCITS ETF - Dist - GBP

Gewicht
9.925 GBX -0,55%+4,69%+0,56%0.16%
373 GBX +1,36%+5,13%-13,24%0.16%
368,4 GBX +0,49%+4,19%+19,22%0.15%
2.728 GBX +2,33%+4,52%+6,23%0.15%
348,3 GBX -1,55%-2,05%-54,07%0.15%
1.870 GBX +0,21%+3,66%+10,16%0.15%
3.330 GBX +0,48%+0,73%-11,88%0.15%
825 GBX +2,42%+5,10%-0,43%0.14%
159,2 GBX -1,24%+0,32%-5,74%0.14%
257,6 GBX +0,78%-2,87%+10,75%0.13%
690 GBX -1,08%+3,45%+11,56%0.13%
121,9 GBX +1,41%+5,36%-26,54%0.13%
738 GBX +2,50%+6,03%+24,14%0.13%
2.810 GBX +0,43%+3,23%+7,99%0.12%
779,5 GBX +0,13%+1,30%+1,83%0.12%
158,3 GBX +3,03%+2,00%-11,39%0.12%
461 GBX +1,21%+4,77%+14,25%0.11%
500 GBX +0,40%+1,83%+3,91%0.11%
788 GBX +0,70%+3,28%+10,13%0.11%
78,3 GBX +2,22%+8,75%+23,74%0.11%
2.420 GBX -0,21%+2,76%+9,26%0.11%
862 GBX +3,16%+6,16%+17,44%0.11%
484,8 GBX +3,15%+8,31%-29,08%0.11%
385,5 GBX -0,26%-1,28%+9,99%0.11%
2.202 GBX +0,27%+2,80%-6,69%0.10%
102 GBX 0,00%+2,51%-10,37%0.10%
215,4 GBX +0,28%+0,09%+30,98%0.10%
326,5 GBX +1,08%+3,82%+15,37%0.10%
450,5 GBX +0,67%+4,40%+3,90%0.10%
737 GBX -1,60%+0,96%-6,71%0.10%
1.362 GBX +1,64%-2,71%+9,05%0.10%
674,5 GBX -0,66%+2,98%+2,35%0.10%
171 GBX +1,18%+2,03%-3,72%0.10%
1.432 GBX +0,35%-0,21%+20,84%0.10%
4.325 GBX -0,12%+2,13%+13,58%0.09%
201 GBX +0,75%+1,01%-1,47%0.09%
184,7 GBX +1,26%+1,88%+13,94%0.09%
1.136 GBX -0,18%+1,79%-7,04%0.09%
525 GBX +0,42%-3,06%+2,94%0.08%
697 GBX +0,80%+2,80%+13,24%0.08%
912 GBX +1,05%+3,17%+8,51%0.08%
222 GBX -0,45%+3,26%+13,67%0.08%
140,4 GBX -1,13%+1,59%+1,67%0.08%
713,5 GBX -0,97%+2,15%-5,06%0.08%
1.605 GBX -0,06%-0,31%+18,01%0.08%
553 GBX +0,55%+3,66%+12,93%0.08%
203,6 GBX +2,36%+3,56%-13,29%0.08%
272 GBX +0,93%+2,06%+2,87%0.07%
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Beschrijving

ISIN-code LU1781541096
Totalekostenratio (TER) 0.04%
Activaklassen
Sector
Grootte
Valuta
Beheerder
Onderliggende waarde Morningstar UK NR Index - GBP

Kenmerken

Rechtsgebied
Fondsstructuur
Methode van replicatie
Replicatiemodel
Aanmaakdatum
27-02-2018
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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