Components Lyxor MDAX ESG UCITS ETF - EUR

ETF

CBMDAX

LU1033693638

Delayed Swiss Exchange 5-day change 1st Jan Change
- EUR -.--% Intraday chart for Lyxor MDAX ESG UCITS ETF  - EUR +1.05% +4.46%

Composition of Lyxor MDAX ESG UCITS ETF - EUR

Weight
40.2 EUR +1.52%+0.75%+5.90%7.48%
6.838 EUR +1.85%+1.42%-15.03%7.14%
42.8 EUR -1.70%-0.33%-15.28%5.09%
36.7 EUR -3.17%-2.13%-2.63%4.38%
69.75 EUR +0.94%+1.38%+8.71%3.84%
81.6 EUR +2.10%+7.82%+2.87%3.81%
6.176 EUR -2.53%-9.94%-56.84%3.62%
68.5 EUR -1.51%-3.25%+16.50%3.48%
21.39 EUR -2.15%-5.56%-44.67%3.41%
47.06 EUR -6.89%-7.47%-30.24%3.38%
80 EUR -4.25%-2.20%+1.94%3.26%
44.82 EUR -1.06%-4.43%-1.26%3.03%
19.62 EUR +0.41%+2.21%+6.08%2.99%
101.6 EUR +0.59%-0.39%+7.68%2.97%
4.862 EUR +3.27%+8.29%-22.97%2.91%
13.8 EUR -1.64%-0.72%-3.60%2.78%
70.8 EUR +0.14%+0.21%+9.51%2.73%
97.35 EUR -1.77%-5.12%-1.51%2.71%
9.895 EUR +1.59%-30.22%-53.50%2.59%
25.94 EUR -0.38%-4.98%+2.37%2.16%
42.5 EUR -2.03%-9.84%+9.90%2.07%
12.44 EUR +0.20%-1.00%-11.56%1.98%
102 EUR +1.39%-6.16%-10.76%1.89%
75.25 EUR +0.07%+4.08%+1.33%1.88%
26.98 EUR +1.70%+1.12%-4.90%1.82%
47.96 EUR +1.87%+2.96%-12.42%1.51%
13.53 EUR +1.05%+7.38%+2.54%1.47%
16.91 EUR +0.06%+0.18%+8.47%1.38%
2.3 EUR +5.22%+7.08% - 1.26%
124.6 EUR +0.81%+0.48%+11.45%1.22%
34.72 EUR -0.46%-3.93%+4.52%1.19%
13.64 EUR +2.87%+6.07%+31.15%1.18%
49.72 EUR +0.61%+1.80%-17.89%1.17%
59.7 EUR -0.75%-1.57%+11.07%1.15%
82.8 EUR +0.73%-0.60%+0.36%1.11%
23.78 EUR -1.33%+5.31%+11.23%1.09%
59 EUR +1.37%+5.36%-4.38%1.03%
27.82 EUR +3.04%-11.17%-20.97%0.96%
7.245 EUR -0.75%-2.69%+30.92%0.88%
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Description

LU1033693638
Total Expense Ratio 0.30%
Asset Class
Sector
Size
Currency
Provider
Underlying MDAX ESG+ Index - EUR

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
23/03/2014
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/10/2023 )

AuM (EUR) 202 M€
AuM 1M 222 M€
AuM 3 months 248 M€
AuM 6 months 242 M€
AuM 12 months 162 M€
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  4. Components Lyxor MDAX ESG UCITS ETF - EUR