Components Lyxor MSCI Ftr Mby ESG Ftd (DR) ETF Acc

ETF

ELCR

LU2023679090

End-of-day quote Euronext Paris 23:00:00 10/12/2023 GMT 5-day change 1st Jan Change
16.67 USD +0.17% Intraday chart for Lyxor MSCI Ftr Mby ESG Ftd (DR) ETF Acc +1.46% +6.80%

Composition of Lyxor MSCI Ftr Mby ESG Ftd (DR) ETF Acc

Weight
91.65 EUR +3.85%+21.63%+28.18%-.--%
12 CNY +8.89%+9.09%-26.43%-.--%
634 ZAR +2.59%-18.75%-34.23%-.--%
1.83 USD +10.24%+18.06%-52.84%-.--%
1.44 USD +5.11%+9.92%-57.27%-.--%
1,365 JPY +1.04%+1.11%-28.01%-.--%
877.4 USD +6.18%+15.14%+77.16%-.--%
33.19 USD +1.13%+1.19%-7.42%-.--%
35,050 KRW +7.85%+14.73%-21.24%-.--%
20.72 EUR +1.07%-0.77%-16.79%-.--%
69.05 USD -0.38%-0.22%+12.15%12.68%
1,044 USD -0.97%-4.31%+9.88%9.64%
168.3 USD -1.11%+14.44%-32.27%7.46%
2,757 JPY -1.06%-2.22%+29.62%6.68%
71.21 USD +1.54%+2.27%-20.63%4.67%
67.15 CAD +0.92%+1.05%-14.23%3.15%
408,500 KRW -1.21%+1.87%-13.45%2.95%
116.9 USD +1.65%+4.22%-19.10%2.94%
372,000 KRW -0.13%+1.36%-12.98%2.60%
50.5 BRL +3.61%+0.46%-20.60%1.78%
1,406 JPY -1.40%+1.96%+11.67%1.74%
9.04 USD +6.10%+4.75%-61.47%1.60%
4.49 USD +8.72%+18.16%-50.50%1.46%
21.35 CAD +0.66%-0.70%-0.97%1.41%
41.22 USD +1.08%+3.15%+19.31%1.40%
9.55 HKD +1.70%+8.03%+11.18%1.16%
122 USD -0.39%+12.18%+5.99%1.09%
615 TWD 0.00%+4.59%+3.02%1.07%
3,382 JPY +1.44%-9.38%+20.36%0.88%
198.5 CNY +2.73%+4.03%+21.57%0.79%
91.28 USD +0.32%+0.86%-9.59%0.79%
1,768 GBX +1.20%-0.62%+4.09%0.78%
112.2 USD +2.31%+3.73%-10.18%0.70%
7.37 AUD +3.66%+1.94%-18.56%0.69%
2.46 USD +0.41%+0.41%-41.57%0.60%
39.93 USD -0.65%+0.33%-13.14%0.59%
1,500 TWD +0.33%-0.99%-12.28%0.58%
86.03 ZAR -0.22%-11.09%-5.74%0.57%
3,673 JPY 0.00%+4.29%-1.53%0.56%
11.98 EUR +4.13%-3.93%-13.91%0.52%
14.9 EUR +3.91%+0.95%-27.13%0.51%
100.8 USD +1.19%-0.89%-43.16%0.45%
3.88 USD -2.27%-0.51%-48.08%0.43%
28.51 USD +0.39%+0.35%-10.01%0.43%
5.39 USD +5.69%+0.56%-22.45%0.42%
430 TWD +1.53%+4.12%+2.38%0.40%
83 TWD -0.36%+2.22%+1.84%0.38%
2.41 USD +1.26%-6.23%-46.44%0.36%
4,865 JPY +3.42%-1.74%+12.23%0.34%
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Description

LU2023679090
Total Expense Ratio 0.45%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI ACWI IMI Future Mobility ESG Filtered Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
08/03/2020
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 263 M€
AuM 1M 264 M€
AuM 3 months 285 M€
AuM 6 months 301 M€
AuM 12 months 273 M€
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  4. Components Lyxor MSCI Ftr Mby ESG Ftd (DR) ETF Acc