Einzelwerte Leverage Shares 3x Long Clean Energy ETP Securities - USD

ETF

A3GWD2

XS2399371017

3ICL

Schlusskurs Euronext Amsterdam
- EUR - Intraday Chart für Leverage Shares 3x Long Clean Energy ETP Securities - USD

Zusammensetzung des Leverage Shares 3x Long Clean Energy ETP Securities - USD

Gewichtung
117.1 USD +5.71%+1.90%-11.37%7,79%
198.9 DKK +2.00%+2.46%-8.66%7,47%
12.24 EUR +0.39%+1.92%+2.78%7,18%
96.64 USD -1.02%-0.88%+6.23%6,63%
53.75 USD +2.95%-8.45%-42.57%5,54%
187 USD -1.36%-3.96%+8.53%5,23%
427.2 DKK +4.21%-1.90%+12.98%3,73%
3.849 EUR +1.42%+6.29%-15.48%2,95%
1’839 INR +2.81%+3.73%+15.16%2,59%
3.44 USD +19.03%+30.30%-23.56%2,26%
1’929 JPY -2.06%-2.80%+5.90%2,06%
25.58 CNY -0.16%+0.91%+9.60%1,92%
12.27 USD +6.51%+4.16%-37.49%1,80%
5.69 HKD -1.04%-2.57%+24.78%1,79%
21.83 CAD -0.05%+1.30%-9.31%1,45%
73.2 USD +3.61%+7.58%-3.42%1,39%
14.97 EUR +2.32%+9.11%-19.19%1,25%
12.48 USD +8.05%+6.03%-15.68%1,17%
29’250 KRW +1.04%+4.46%-25.95%1,11%
10.33 BRL +1.57%+0.10%+16.98%1,10%
18.83 CNY -0.48%+0.32%-17.77%0,98%
74.92 EUR -0.10%+7.15%-11.72%0,97%
12.62 USD -0.32%-5.75%-24.88%0,94%
7.03 USD -1.40%-20.11%-54.76%0,92%
6.34 HKD -0.94%+5.49%-2.16%0,88%
37.16 USD -0.38%+1.03%+14.66%0,81%
29.35 CAD -1.54%-0.84%-12.86%0,68%
16.99 EUR +0.24%+0.18%+8.92%0,67%
102.7 CNY -2.20%-3.94%+17.24%0,66%
4.74 CNY -0.42%+0.85%+8.47%0,66%
20.24 USD +2.33%+4.98%-19.75%0,62%
5.33 USD +27.51%+20.59%-65.05%0,62%
14.66 EUR -3.08%+3.72%+39.52%0,61%
22 USD -3.55%+2.76%+2.33%0,60%
48’450 KRW +0.62%-10.61%-30.98%0,58%
14.39 CNY -1.10%-1.57%-30.55%0,57%
22.38 EUR +1.27%+7.15%-21.01%0,57%
0.011 CHF 0.00%+0.92%-94.37%0,56%
4.39 USD +59.64%+88.41%-9.11%0,55%
11.64 EUR +0.30%+6.42%-37.67%0,53%
10.64 CNY -0.56%-0.09%-31.97%0,50%
91.5 CLP -1.08%+0.56%-6.15%0,50%
42.15 CAD -1.68%+3.59%+10.51%0,48%
22.57 EUR -0.22%+12.61%-24.70%0,47%
49.41 EUR -1.38%+4.93%-19.21%0,43%
26.88 EUR -0.15%+1.66%-6.79%0,41%
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Beschreibung

ISIN Code XS2399371017
Verwaltungsgebühren 3.75%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert S&P Global Clean Energy Net Total Return Index - USD

Merkmale

Gerichtsstand
Fondsstruktur
Replikationsmethode
Replikationsmodell
Erstellungsdatum
14.12.2021
Dividenden-Politik
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.11.2023 )

Volumen (EUR) 0 M€
Volumen 1M 0 M€
Volumen 3M 0 M€
Volumen 6M 0 M€
Volumen 12M 0 M€
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