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

ETF

USAU

FR0010296061

slotkoers London S.E. Variatie 5 dagen Verschil t.o.v. 1 jan (%)
- GBX -.--% Intraday-grafiek van Lyxor MSCI USA ESG Broad CTB (DR) UCITS ETF - Dist - EUR +1,46% +14,32%

Samenstelling van de Lyxor MSCI USA ESG Broad CTB (DR) UCITS ETF - Dist - EUR

Gewicht
194 USD +0,89%+2,13%+0,78%7.30%
413,5 USD -0,50%-3,87%+9,97%6.09%
178,3 USD +1,07%-1,33%+17,38%3.20%
1.150 USD +4,93%+8,01%+132,22%3.12%
176,3 USD -1,02%-1,65%-29,05%1.75%
477,5 USD +2,18%-0,15%+34,90%1.54%
831,3 USD +1,33%+2,95%+42,60%1.46%
497,4 USD +0,42%-2,11%-5,51%1.29%
173,2 USD +0,38%-1,04%+23,97%1.13%
270,4 USD -0,76%-1,50%+3,85%1.12%
147,7 USD +0,60%+0,52%-5,74%1.11%
201,8 USD -0,40%+0,55%+18,65%1.08%
443,2 USD -0,87%-1,77%+3,91%0.97%
1.322 USD -0,66%-6,10%+18,42%0.94%
128,4 USD +2,29%-0,83%+17,79%0.93%
328 USD -2,06%+0,90%-5,35%0.91%
44,07 USD -4,03%-4,69%-15,32%0.88%
244 USD -0,37%-1,96%+4,74%0.80%
193,7 USD -0,65%-2,74%+13,65%0.78%
439 USD -1,29%-7,66%-26,41%0.77%
46,65 USD +0,32%+0,50%-7,66%0.74%
261,4 USD +1,78%-0,53%+12,99%0.67%
160,2 USD -0,65%+1,99%+3,37%0.62%
40,98 USD -1,28%+2,12%+17,66%0.61%
236,6 USD +0,95%-13,10%-10,08%0.58%
119,3 USD +1,78%-2,95%+13,14%0.57%
165,3 USD -0,97%-3,28%+1,06%0.56%
40,98 USD -0,59%+3,12%+8,70%0.56%
281,8 USD -0,21%-6,39%-19,71%0.55%
67,75 USD -1,45%-0,81%+4,01%0.55%
29,31 USD +2,27%+1,49%+1,81%0.54%
41,77 USD +1,57%+1,29%-18,59%0.54%
39,88 USD -0,36%+0,45%+18,44%0.53%
32,15 USD -4,02%-0,68%-5,94%0.52%
172,4 USD +1,66%+1,35%-12,67%0.52%
39,58 USD -1,12%+2,70%-9,74%0.51%
34,74 USD -5,34%-3,79%-3,90%0.51%
19,5 USD +0,05%+2,25%+10,54%0.50%
97,41 USD -0,44%-1,58%+4,46%0.50%
102,9 USD +0,67%-1,04%-6,54%0.50%
77,71 USD -2,94%+1,44%+27,94%0.49%
102,8 USD -1,14%+0,99%+13,82%0.48%
107,4 USD -2,80%+2,53%-19,43%0.48%
228,3 USD -2,01%-1,61%-7,04%0.48%
65,82 USD +0,09%+0,67%+25,25%0.46%
633,8 USD -1,28%-2,00%+30,17%0.45%
163,6 USD -2,07%-1,69%+10,95%0.45%
434,3 USD -0,31%-0,28%+5,75%0.45%
307,4 USD +0,53%+0,52%+6,74%0.45%
82c8e.5PYUgc86BnOzY7aB2PEVjymYIeMhN8ByaXv7Gp1YDmc.h5ot24MJNgT2Vd7Xr9xw_HreTdZUQfFFURyYVdw3axbQp3zKtVs-IPkxxQ

Beschrijving

ISIN-code FR0010296061
Totalekostenratio (TER) 0.09%
Activaklassen
Sector
Grootte
Valuta
Beheerder
Onderliggende waarde MSCI USA ESG CTB Broad Select Net Total Return Index - USD

Kenmerken

Rechtsgebied
Fondsstructuur
Methode van replicatie
Replicatiemodel
Aanmaakdatum
23-03-2006
Dividendbeleid
Geografisch zwaartepunt

Distributie

Individuele belegger

Veranderingen in de stand van zaken ( 31-10-2023 )

Volume (EUR) 1 006 M€
Volume 1 maand 1 058 M€
AuM 3 months 1 073 M€
AuM 6 months 1 002 M€
AuM 12 months 1 000 M€
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