Components Amundi MSCI Semiconductors UCITS ETF Acc - EUR

ETF

LYTWN

LU1900066033

Market Closed - Swiss Exchange 16:36:30 07/07/2026 BST 5-day change 1st Jan Change
124.76 USD -6.41% Intraday chart for Amundi MSCI Semiconductors UCITS ETF Acc - EUR -10.33% +51.10%

Components: Amundi MSCI Semiconductors UCITS ETF Acc - EUR

195.60USD+0.02%+5.06%27.74%
2,440.00TWD-0.81%+57.42%15.14%
368.19USD-1.53%+6.11%13.19%
1,509.80EUR-7.28%+63.86%5.71%
920.08USD-6.57%+218.47%4.74%
2,201,000.00KRW-6.06%+238.10%3.41%
509.76USD-7.66%+137.86%3.34%
321.86USD-8.09%+86.98%3.03%
546.12USD-7.87%+111.51%2.98%
109.14USD-10.69%+194.50%2.04%
291.20USD-4.05%+67.88%2%
213.02USD-8.70%+74.87%1.96%
375.67USD-3.38%+38.26%1.72%
180.86USD-3.01%+5.49%1.53%
69,470.00JPY-3.94%+102.42%1.3%
28,900.00JPY-2.25%+47.19%1.3%
4,030.00TWD-2.30%+181.82%0.91%
70.83EUR-8.26%+87.73%0.71%
226.64USD-9.08%+164.64%0.69%
270.12USD-3.70%+24.14%0.59%
1,257.16USD-6.61%+38.48%0.57%
336.24USD-11.40%+72.45%0.51%
71,900.00JPY-7.82%+49.26%0.44%
83.22USD-4.99%+30.62%0.42%
896.60EUR-7.03%+73.22%0.39%
651.00TWD-4.12%+159.88%0.38%
4,744.00JPY+0.72%+121.68%0.35%
90.56USD-4.36%+66.43%0.28%
227.98USD-2.18%-12.41%0.24%
58.30EUR-7.99%+159.80%0.23%
155.00TWD-6.63%+214.72%0.23%
240.60USD-9.40%+65.23%0.21%
132.10USD-9.00%+56.55%0.21%
44,050.00JPY-6.36%+48.59%0.16%
241.90EUR-6.28%+80.86%0.15%
439.57USD-5.80%+33.81%0.14%
17,090.00JPY-4.31%+124.28%0.12%
317.00TWD-9.69%+28.08%0.11%
180.00HKD+1.12%+142.26%0.11%
14,415.00TWD-2.54%+118.41%0.09%
3,195.00TWD-3.77%+16.39%0.08%
776.00TWD+0.91%+58.69%0.08%
531.00TWD-1.30%+41.98%0.07%
4,480.00TWD-2.71%+110.82%0.07%
175.00TWD-5.41%+90.01%0.05%
1,388.00CNY+1.33%+52.57%0.04%
1,205.00TWD-9.74%+196.80%0.04%
2,740.00TWD-2.32%+58.38%0.04%
2.020HKD-3.81%-31.99%0.03%
420.04CNY+0.01%+129.49%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 (USD) 1.35B
AuM 1M 1.29B
AuM 3 months 1.05B
AuM 6 months 923M
AuM 12 months 756M
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