Components Lyxor Global Gender Equality (DR) UCITS ETF - Acc - USD

ETF

ELLE

LU1691909508

Delayed London S.E. 16:35:25 26/04/2024 BST 5-day change 1st Jan Change
14.89 USD +0.56% Intraday chart for Lyxor Global Gender Equality (DR) UCITS ETF - Acc - USD +1.95% +1.14%

Composition of Lyxor Global Gender Equality (DR) UCITS ETF - Acc - USD

Weight
111 USD +0.22%+3.98%-9.08%1.05%
69.05 USD -0.38%-0.22%+12.15%1.01%
443.3 USD +0.43%-7.85%+25.24%0.96%
132.1 USD +3.12%+3.88%+33.59%0.91%
16.37 USD +1.87%+1.36%+9.21%0.90%
274.3 USD +0.42%+1.45%+4.24%0.86%
235.6 USD -0.62%+1.99%+25.78%0.86%
104.1 EUR -0.29%+2.16%+23.93%0.83%
62.66 USD +1.41%+5.95%+21.81%0.82%
132.4 USD +1.37%+3.57%+15.77%0.82%
164.7 USD +0.18%-2.12%+15.67%0.81%
330 USD +0.31%+0.30%+73.17%0.81%
217 EUR -0.14%+6.09%+19.40%0.80%
135.7 USD -0.40%+5.19%-10.60%0.80%
2,333 EUR -0.72%+1.00%+21.59%0.80%
33.96 USD +4.04%+4.81%-8.32%0.79%
59.91 USD -0.03%-0.73%+21.72%0.79%
142.3 EUR -0.42%+0.67%+10.57%0.78%
406.3 USD +1.82%+1.80%+8.05%0.78%
240.9 USD +0.47%+0.73%+17.29%0.78%
221.1 USD +0.60%+1.35%+11.47%0.77%
42.33 EUR +0.12%+6.27%+22.40%0.77%
39.68 USD +1.17%-2.00%+5.25%0.77%
636.6 USD +1.62%+5.19%+1.84%0.77%
33.94 AUD +2.38%+1.77%+8.99%0.77%
25.76 AUD +0.27%+0.12%+12.49%0.76%
3.412 EUR +1.43%+4.60%+14.80%0.76%
73.17 USD -0.12%+8.67%+26.57%0.75%
9.862 EUR +0.14%-0.88%+1.92%0.75%
71.74 USD +1.27%+4.29%+4.81%0.75%
131.2 USD +0.37%+4.31%+20.34%0.75%
10.72 EUR -2.41%+2.64%+30.14%0.75%
217.9 USD +0.71%+0.66%-10.49%0.74%
37.83 USD -0.21%+2.33%+12.36%0.73%
180 AUD +2.31%+0.83%-0.65%0.73%
175.6 EUR -0.11%+1.80%+6.95%0.73%
65.37 CAD +0.94%-0.09%+2.46%0.72%
308 USD -0.32%-2.80%-12.23%0.72%
376.1 USD +0.25%+0.39%-3.69%0.72%
44.18 EUR -1.19%-1.05%+12.05%0.72%
58.52 EUR +0.38%-2.37%-0.27%0.72%
33.62 AUD +0.33%+0.66%+9.51%0.72%
4.43 AUD +2.31%-0.45%-0.45%0.71%
159.6 USD -4.58%-4.08%+3.00%0.71%
45.84 USD +0.48%+8.19%+27.62%0.71%
415.8 USD +0.07%+0.78%-5.62%0.71%
462.4 USD +0.07%+1.54%+8.42%0.71%
95.89 USD -0.85%+3.53%+10.84%0.71%
200.7 GBX +0.68%-1.31%-9.78%0.71%
121.9 USD -0.07%-1.41%+9.29%0.70%
098083312fdb299ef5e7f.1HwmWGk9yp9JLrQXPkGIarLH55dndc7uXH1av5CK9KE.mAhWMiJVktozS9xzSTnYBtW0k99eI_eoZSUC_sXgue6LPk4qHG_z1Q9mgA

ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
11/10/2017
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 57 M€
AuM 1M 58 M€
AuM 3 months 56 M€
AuM 6 months 56 M€
AuM 12 months 60 M€
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