Quotes Amundi EUR Floating Rate Corporate Bond ESG UCITS ETF - EUR

ETF

FRNE

LU1681041114

Delayed 12:00:56 29/09/2026 BST 5-day change 1st Jan Change
113.29 EUR +0.09% Intraday chart for Amundi EUR Floating Rate Corporate Bond ESG UCITS ETF - EUR +0.25% +1.82%
Current month+0.12%
1 month+0.48%

Quotes 5-day view: Amundi EUR Floating Rate Corporate Bond ESG UCITS ETF - EUR

Delayed Quote Börse Stuttgart
Amundi EUR Floating Rate Corporate Bond ESG UCITS ETF - EUR(FRNE) : Historical Chart (5-day)
  23/09/2026 24/09/2026 25/09/2026 28/09/2026 29/09/2026
Last €112.24 €112.36 €112.63 €113.19 €113.29
Volume 0 135 0 0 0
Change -0.68% +0.11% +0.24% +0.50% +0.09%
Opening €113.24 €113.17 €113.15 €113.19 €113.30
High €113.31 €113.28 €113.27 €113.28 €113.30
Low €112.24 €112.36 €112.44 €113.10 €113.25

Performance

1 week+0.17%
Current month+0.12%
1 month+0.48%
3 months+0.63%
6 months+1.46%
Current year+1.73%
1 year+2.53%
3 years+10.44%
5 years+12.39%
10 years+13.01%

Volumes

markets
Daily volume
0
Estimated daily volume
0
Avg. Volume 20 sessions
126
Daily volume ratio
0
Avg. Volume 20 sessions
14,274.54
Avg. Volume 20 sessions USD
16,195.89
Record volume 1
60,324
Record volume 2
24,191
Record volume 3
18,000

Indicators

Moving average 5 days
112.69
Moving average 20 days
112.83
Moving average 50 days
112.72
Moving average 100 days
112.5
Price spread / (MMA5)
-0.53%
Price spread / (MMA20)
-0.40%
Price spread / (MMA50)
-0.50%
Price spread / (MMA100)
-0.70%
RSI 9 days
46.93
RSI 14 days
47.76

Historical Quotes: Amundi EUR Floating Rate Corporate Bond ESG UCITS ETF - EUR

DateOpeningHighLowCloseVolumeChange
Chart Amundi EUR Floating Rate Corporate Bond ESG UCITS ETF - EUR

Price Extremes

1 week 112.24
Extreme 112.24
113.33
1 month 112.24
Extreme 112.24
113.33
3 years 101.97
Extreme 101.97
113.33
5 years 97.9
Extreme 97.905
113.33
10 years 94.08
Extreme 94.085
113.33

Monthly variations

Annual variations

2026+1.82%
2025+2.71%
2024+4.49%
2023+3.60%
2022-0.50%
2021-0.38%
2020-0.09%
2019+0.88%
2018-1.36%
2017+0.08%
2016+0.33%


Description

LU1681041114
Total Expense Ratio 0.0018
Asset Class Fixed Income
Currency
Provider
Underlying iBoxx MSCI ESG EUR FRN Investment Grade Corporates Index - EUR
Autres ETFs

Features and characteristics

Dividend Policy Capitalisation
Replication Method Physique
Jurisdiction
Fund Structure
Date of creation
04/04/2018
Bonds Characteristics
Credit Rating

Distribution

Retail investor

AuM evolution - 11/08/2026

AuM (EUR) 1.71B
AuM 1M 1.71B
AuM 3 months 1.71B
AuM 6 months 1.71B
AuM 12 months 1.71B
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