Components Amundi MSCI Semiconductors UCITS ETF Acc - EUR

ETF

LU1900066033

Market Closed - Fonds 10:00:00 26/06/2026 BST 5-day change 1st Jan Change
101.22 GBX -3.28% Intraday chart for Amundi MSCI Semiconductors UCITS ETF Acc - EUR -5.47% +64.64%

Components: Amundi MSCI Semiconductors UCITS ETF Acc - EUR

192.53USD-1.64%+3.23%27.74%
2,340.00TWD-2.09%+50.97%15.14%
365.02USD-3.67%+5.47%13.19%
1,591.40EUR+0.84%+72.65%5.71%
1,132.33USD-6.69%+296.74%4.74%
2,673,000.00KRW-8.36%+310.60%3.41%
521.58USD-2.06%+143.55%3.34%
379.09USD-5.66%+121.46%3.03%
626.84USD-6.16%+143.92%2.98%
128.32USD-3.42%+247.75%2.04%
285.42USD-8.46%+64.52%2%
248.64USD-3.93%+104.63%1.96%
386.91USD-7.42%+42.67%1.72%
189.39USD-7.57%+10.72%1.53%
74,700.00JPY+2.44%+117.66%1.3%
31,950.00JPY-1.51%+62.72%1.3%
3,880.00TWD-9.98%+171.33%0.91%
80.35EUR+2.62%+112.22%0.71%
266.77USD-5.15%+213.92%0.69%
277.02USD-7.24%+27.62%0.59%
1,313.32USD-8.69%+44.90%0.57%
436.86USD-7.44%+125.70%0.51%
79,550.00JPY+1.32%+65.14%0.44%
87.93USD-6.58%+37.99%0.42%
962.20EUR+1.50%+85.94%0.39%
632.00TWD-1.40%+152.30%0.38%
4,810.00JPY+0.21%+124.77%0.35%
90.65USD-23.66%+67.41%0.28%
239.07USD-3.85%-8.48%0.24%
64.97EUR+3.82%+189.53%0.23%
164.00TWD-8.12%+232.99%0.23%
238.00USD-11.20%+65.40%0.21%
161.43USD-8.42%+91.61%0.21%
49,200.00JPY-1.21%+65.96%0.16%
283.10EUR+0.14%+111.66%0.15%
488.58USD-8.55%+48.78%0.14%
16,765.00JPY+1.39%+120.01%0.12%
308.00TWD-7.92%+24.44%0.11%
204.20HKD+7.76%+174.83%0.11%
15,615.00TWD-10.39%+115.08%0.09%
3,405.00TWD+0.44%+24.04%0.08%
740.00TWD-9.09%+51.33%0.08%
509.00TWD-9.27%+36.10%0.07%
4,420.00TWD-8.87%+108.00%0.07%
202.00TWD-8.18%+119.33%0.05%
1,458.00CNY-3.12%+60.26%0.04%
936.00TWD-10.00%+130.54%0.04%
2,925.00TWD-9.86%+69.08%0.04%
2.030HKD+1.50%-31.65%0.03%
413.00CNY+3.48%+125.64%0.02%

Description

LU1900066033
Total Expense Ratio 0.35%
Asset Class Stocks
Sector
Size
Currency
Provider
Underlying MSCI ACWI IMI Semiconductors & Semiconductor Equipment Filtered NTR Index - USD
Autres ETFs

Features and characteristics

Dividend Policy Capitalisation
Replication Method Physique
Jurisdiction
Fund Structure
Date of creation
27/03/2007
Geographical Focus

Distribution

Retail investor

AuM evolution - 26/02/2026

AuM (GBX) 100B
AuM 1M 95.61B
AuM 3 months 77.68B
AuM 6 months 68.6B
AuM 12 months 56.16B
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