Components Amundi MSCI UK IMI SRI PAB ETF DR GBP

ETF

FTSE

LU1437025296

End-of-day quote Euronext Paris 23:00:00 10/12/2023 GMT 5-day change 1st Jan Change
10.36 GBP +0.52% Intraday chart for Amundi MSCI UK IMI SRI PAB ETF DR GBP +1.82% +10.25%

Composition of Amundi MSCI UK IMI SRI PAB ETF DR GBP

Weight
3,358 GBX +2.25%+2.35%+7.97%5.66%
4,476 GBX +0.16%+2.75%-17.42%5.18%
12,050 GBX -0.87%+0.20%+13.68%4.83%
9,162 GBX +1.17%+3.06%-1.21%4.75%
52.18 GBX +0.23%+1.91%+9.37%3.84%
202.4 GBX +0.67%-0.81%+31.58%3.07%
2,241 GBX +1.08%+2.89%-1.88%3.05%
8,785 GBX +0.34%-0.73%-16.37%2.87%
2,891 GBX +1.72%+1.69%+19.41%2.73%
407.7 GBX +1.67%-0.68%-7.51%2.71%
79.55 USD +3.11%+3.04%+15.02%2.69%
9,098 GBX +1.34%-0.07%+12.07%2.39%
4,746 GBX +1.50%+2.09%-6.02%2.35%
3,920 GBX -2.00%-1.88%+23.85%2.01%
1,710 GBX +0.80%+3.57%-7.89%1.96%
2,192 GBX +2.81%-1.57%+30.52%1.83%
1,083 GBX -0.82%-8.38%-18.82%1.83%
874.6 GBX +0.78%+3.70%-1.33%1.82%
68.44 GBX +0.91%-0.81%-0.18%1.79%
755 GBX -0.13%+10.57%+13.26%1.76%
5,040 GBX +4.96%+8.34%+7.51%1.43%
305 GBX +0.59%+5.24%+39.02%1.41%
2,694 GBX +1.20%+5.21%+36.68%1.28%
872 GBX +1.57%0.00%+7.18%1.22%
240.9 GBX +2.16%+3.48%-4.06%1.21%
472 GBX +0.77%+2.94%+8.58%1.19%
193.5 GBX +0.99%-0.77%+56.93%1.15%
258.8 GBX +3.77%-6.10%+5.98%1.14%
815.8 GBX +1.42%+2.69%+4.43%1.02%
2,671 GBX +1.06%-0.56%+12.84%1.01%
403.6 GBX +2.54%+3.91%+1.00%1.00%
958.5 GBX +0.52%+4.53%-8.19%0.99%
3,710 GBX 0.00%+4.10%+3.57%0.98%
884 GBX -0.06%+2.37%+5.18%0.95%
2,614 GBX -0.83%+2.35%+13.41%0.93%
1,180 GBX +2.61%+3.10%-16.67%0.92%
296 GBX +1.44%+4.59%-6.98%0.86%
258.3 GBX +1.45%-0.92%-5.18%0.81%
1,183 GBX +1.94%+1.94%+0.90%0.77%
202.8 GBX +2.01%+4.16%+5.90%0.72%
2,142 GBX +3.18%+7.53%-9.24%0.71%
138.2 GBX +1.10%+2.90%+0.07%0.68%
41.62 GBX -0.05%+1.81%-13.51%0.67%
158.7 GBX +0.70%+7.89%-6.04%0.64%
1,564 GBX +0.61%+4.76%-7.55%0.63%
2,014 GBX +0.20%+2.39%+6.76%0.63%
766.5 GBX +2.68%+8.26%-6.48%0.63%
28.49 CAD +0.07%-1.42%-4.30%0.63%
355.6 GBX +1.60%-1.85%-53.11%0.61%
53930e2bbda7495184ceca90f6c649._d9EeMVq31llj4yugMOIgIAwSooGD1EYM2VUkAHMcMI.m5swDqIFpRU34Orxs7bL7MlJfeJIYGR7RFQez1CJA42Ri3JIsQm8LCv-zQ

Description

LU1437025296
Total Expense Ratio 0.18%
Asset Class
Sector
Size
Currency
Provider
Underlying 100% MSCI UK IMI SRI FILTERED PAB NR Index - GBP

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
28/06/2016
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 26/03/2024 )

AuM (EUR) 44 M€
AuM 1M 42 M€
AuM 3 months 40 M€
AuM 6 months 38 M€
AuM 12 months 36 M€
  1. Stock Market
  2. ETF
  3. FTSE ETF
  4. Components Amundi MSCI UK IMI SRI PAB ETF DR GBP