Log in
E-mail
Password
Remember
Forgot password ?
Become a member for free
Sign up
Sign up
New member
Sign up for FREE
New customer
Discover our services
Settings
Settings
Dynamic quotes 
OFFON

MarketScreener Homepage  >  ETF  >  London Stock Exchange  >  Lyxor Cr FTSE Actr UK Glts(DR) ETF D GBP    GILS   LU1407892592

LYXOR CR FTSE ACTR UK GLTS(DR) ETF D GBP

(GILS)
End-of-day quote. End-of-day quote London Stock Exchange - 10/21
150.38 GBP   +0.49%
 SummaryChartsStatistiquesComponents 

Chart LYXOR CR FTSE ACTR UK GLTS(DR) ETF D GBP
Duration : Period :
Lyxor Cr FTSE Actr UK Glts(DR) ETF D GBP Technical Analysis Chart | MarketScreener
Full-screen chart
Toute l'actualité de la Zone économique

- No features available -

More Index news
All the latest ETF news
10:45aTRACKINSIGHT : Positive performance from US Risk Stocks
TI
10:30aTRACKINSIGHT : Strong inflows for US 20Y+ Bond ETFs
TI
10/22TRACKINSIGHT : Strong inflows into Retail stocks ETFs
TI
10/22TRACKINSIGHT : Positive performance from Platinum
TI
10/21TRACKINSIGHT : Latin American ETFs experience positive performance
TI
10/21TRACKINSIGHT : Positive performance from Mexican Stocks
TI
10/20Stock Market Rally Stalls as Pandemic Intensifies
TI
10/19TRACKINSIGHT : European Real Estate ETFs lose more ground
TI
More ETF news
Rating TrackInsight  TrackInsightTM ETF Ratings – Methodology
Investment objective
The Lyxor FTSE Actuaries UK Gilts (DR) UCITS ETF is a UCITS compliant exchange traded fund that aims to track the benchmark index FTSE Actuaries UK Gilts All Stocks Index. The FTSE Actuaries UK Conventional Gilts All Stocks Index (Bloomberg ticker: FTFIBGT) ('Benchmark Index'), which represents the UK gilt market.
Investment themes
Asset Classes Bonds
Geographical Zones UK
Development Developed
Bond Types Government
Maturities All Maturities
Credit Ratings Investment Grade
Weighting Schemes Market Cap Weighted
Description
Index ETF FTSE Actuaries Government Securities UK Gilts Total Return Index All Stocks - GBP
Currency GBP
Management fees 0.07%
AuM (2020-10-07) 759.37 M GBP
Provider Lyxor
Features and characteristics
Jurisdiction Luxembourg
Structure SICAV
Date of creation 2012-11-10
Dividend Policy Distribution
Replication Method Direct (Physical)
Replication Model Optimized Sampling
AuM evolution (2020-10-07)
Last one 759.37 M GBP
1-month 811.46 M GBP
3 months 819.12 M GBP
6 months 649.63 M GBP
1-year 611.83 M GBP