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MarketScreener Homepage  >  Funds  >  Italian Stock Exchange  >  Lyxor iBoxx EUR Liquid HY BB UE Acc    HYBB   LU1215415214

LYXOR IBOXX EUR LIQUID HY BB UE ACC

(HYBB)
End-of-day quote. End-of-day quote Italian Stock Exchange - 09/20
115.4 EUR   +0.01%
 SummaryQuotesChartsStatistics 
Quotes 5-day view   End-of-day quote. End-of-day quote Italian Stock Exchange
09/16/2019 09/17/2019 09/18/2019 09/19/2019 09/20/2019 Date
115.49(c) 115.55(c) 115.46(c) 115.39(c) 115.4 Last
-0.10% +0.05% -0.08% -0.06% +0.01% Change
889 13 133 3 974 1 934 20 613 Volume
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Chart LYXOR IBOXX EUR LIQUID HY BB UE ACC
Duration : Period :
Lyxor iBoxx EUR Liquid HY BB UE Acc Technical Analysis Chart | MarketScreener
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09/20TRACKINSIGHT : Hong Kong stocks performance dips
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09/20TRACKINSIGHT : Indian Large Cap Stocks perform poorly
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09/19TRACKINSIGHT : Good performance for Municipal investment grade bonds
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09/19TRACKINSIGHT : Aggregate All Maturities Bonds see performance boost
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09/18TRACKINSIGHT : Surge of inflows into Energy Large Cap Stocks
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09/18TRACKINSIGHT : Indian Large & Mid Cap Stocks performance dips
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09/17TRACKINSIGHT : Stocks Firm, Sell-Off for Treasuries and other Corporate IG Bonds
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09/17TRACKINSIGHT : Large outflows despite a good performance for Energy Stocks ETFs
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Rating TrackInsight  TrackInsightTM ETF Ratings – Methodology
Investment objective
The Lyxor iBoxx EUR Liquid High Yield BB UCITS ETF is a UCITS compliant exchange traded fund that aims to track the benchmark index Markit iBoxx EUR High Yield Corporate BB. The 'Markit Iboxx EUR HY Corporates BB Cum Crossover Top 50 Total Return Index' is representative of the performance of the 50 largest and most liquid corporate bonds rated from BB- to BB+.
Investment themes
Asset Classes Fixed Income
Geographical Zones Europe
Development Developed
Bond Types Corporate
Maturities All Maturities
Credit Ratings High Dividend
Weighting Schemes Market Cap Weighted
Description
Index ETF Markit iBoxx EUR Corporates BB Cum Crossover Top 50 Mid Price (strap) TCA TRI Total Return Index - EUR
Related indices
Currency EUR
Management fees 0.35%
AuM (2019-09-07) 154.85 M EUR
Provider Lyxor
Features and characteristics
Jurisdiction Luxembourg
Structure SICAV
Date of creation 2015-04-15
Dividend Policy Capitalization
Replication Method Indirect (Synthetic)
Replication Model Unfunded Swap
AuM evolution (2019-09-07)
Last one 154.85 M EUR
1-month 134.6 M EUR
3 months 107.78 M EUR
6 months 127.05 M EUR
1-year 123.97 M EUR