Components Amundi MSCI Semiconductors ESG Screened UCITS ETF Acc - EUR

ETF

LYTWN

LU1900066033

Delayed Swiss Exchange 08:01:05 15/05/2024 BST 5-day change 1st Jan Change
46.9 USD +0.21% Intraday chart for Amundi MSCI Semiconductors ESG Screened UCITS ETF Acc - EUR +3.65% +33.24%

Composition of Amundi MSCI Semiconductors ESG Screened UCITS ETF Acc - EUR

Weight
913.6 USD +1.06%+0.89%+84.48%33.52%
825 TWD +0.73%+3.12%+39.12%10.24%
1,380 USD +3.18%+5.90%+23.63%9.53%
848.6 EUR +0.94%+0.41%+24.47%6.74%
153.2 USD +1.73%-0.82%+3.90%4.95%
189 USD +2.58%+4.90%+30.66%3.24%
31.05 USD +1.77%+1.21%-38.21%3.04%
209.8 USD +1.54%+1.21%+29.46%3.00%
191.1 USD +1.76%+4.63%+12.13%2.67%
912.5 USD +0.97%-0.26%+16.51%2.21%
35,230 JPY +1.85%-2.89%+39.50%2.09%
124.8 USD +1.47%+4.70%+46.25%2.06%
729.9 USD +2.21%+2.18%+25.57%1.65%
211.9 USD +1.73%+4.11%+6.74%1.65%
185,300 KRW +0.82%+3.17%+30.95%1.18%
267.7 USD +1.41%+3.48%+16.54%1.08%
68.02 USD -1.45%-0.96%+12.78%0.98%
1,155 TWD +3.59%+10.53%+13.79%0.91%
93.86 USD +1.43%+1.96%+4.08%0.82%
37.44 EUR +0.65%+3.66%-1.11%0.75%
53,850 JPY +3.62%+8.00%+53.95%0.57%
5,358 JPY +1.86%+4.04%+11.69%0.57%
72.99 USD +0.91%+3.11%-12.62%0.55%
713.7 USD +1.52%+1.64%+13.15%0.52%
38.47 EUR +0.13%+2.63%-15.02%0.50%
620.6 EUR +0.39%+0.98%+32.06%0.50%
2,682 JPY +2.41%+6.37%+5.22%0.43%
130.2 USD +1.11%-1.87%+8.68%0.36%
52.1 TWD -0.57%+0.97%-0.95%0.31%
127.1 USD +1.81%+4.97%+17.13%0.29%
94.42 USD +0.55%+2.01%-16.01%0.29%
117.1 USD +5.71%+1.90%-11.37%0.27%
187 USD -1.36%-3.96%+8.53%0.26%
149 TWD +0.68%-1.32%+10.37%0.26%
129.8 EUR -1.41%+2.65%-4.91%0.21%
99.05 USD +0.71%+2.38%-12.04%0.19%
71.46 USD +0.95%-0.47%+3.58%0.19%
583 TWD -0.68%-8.91%+12.77%0.18%
536 TWD +1.71%+2.10%+13.68%0.15%
2,710 TWD +7.54%-1.81%-17.25%0.13%
2,510 JPY -0.16%+3.74%+18.68%0.10%
2,119 JPY +1.90%-6.01%-21.59%0.09%
2,440 TWD +5.17%+7.96%-0.41%0.09%
513 TWD -0.58%-2.66%-12.61%0.07%
5.69 HKD -1.04%-2.57%+24.78%0.07%
413.5 TWD +0.24%+0.85%-17.30%0.06%
1,370 TWD +2.62%+4.18%-21.26%0.06%
25.6 TWD +0.59%+1.39%-15.93%0.05%
64.8 TWD +0.62%-2.99%-16.92%0.05%
759 TWD +2.15%-0.52%-36.75%0.04%
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Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
26/03/2007
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 275 M€
AuM 1M 380 M€
AuM 3 months 171 M€
AuM 6 months 123 M€
AuM 12 months 28 M€
  1. Stock Market
  2. ETF
  3. LYTWN ETF
  4. Components Amundi MSCI Semiconductors ESG Screened UCITS ETF Acc - EUR