Components Lyxor Index Fund - Lyxor MSCI World Catholic Principles ESG (DR) UCITS ETF - Acc - USD

ETF

CATH

LU2216829809

Market Closed - London S.E. 11:35:07 2024-05-10 am EDT 5-day change 1st Jan Change
31.7 USD +0.46% Intraday chart for Lyxor Index Fund - Lyxor MSCI World Catholic Principles ESG (DR) UCITS ETF - Acc - USD +3.97% +9.76%

Composition of Lyxor Index Fund - Lyxor MSCI World Catholic Principles ESG (DR) UCITS ETF - Acc - USD

Weight
186.8 NOK +1.47%+4.53%-0.37%-.--%
19.55 USD +0.51%+3.06%-1.26%-.--%
15.08 USD 0.00%+1.00%+4.72%-.--%
72.31 USD +0.37%+3.95%+7.96%-.--%
20.38 EUR +1.70%+4.51%-11.55%-.--%
273.6 USD +1.61%-0.17%-11.88%-.--%
250.3 USD +0.24%+2.63%-4.43%-.--%
60.7 USD +2.62%+5.95%-9.56%-.--%
486.8 SEK +1.88%+3.57%+20.67%-.--%
60.66 USD +0.80%-0.34%+4.33%-.--%
293.2 USD -0.80%+1.16%+4.82%-.--%
156.7 USD -2.93%-0.31%+0.85%-.--%
70.7 USD +0.63%+1.13%+8.54%-.--%
369.3 SEK +3.59%+4.03%+17.42%-.--%
1.37 SGD +1.48%+1.48%-21.26%-.--%
14.12 SGD +1.51%-1.12%+8.62%-.--%
86.08 USD +0.82%+3.45%+4.34%-.--%
482.3 USD -0.07%-0.80%-19.16%-.--%
93.05 USD +0.38%-1.76%+0.67%-.--%
91.19 USD -11.00%-8.51%-22.95%-.--%
121.6 USD +0.87%+0.90%-4.09%-.--%
271.7 USD -3.10%-5.62%-0.84%-.--%
431.6 USD -0.17%+1.50%-2.03%-.--%
539.2 USD +0.11%+2.32%+14.34%-.--%
157.2 USD +0.82%-1.36%-21.03%-.--%
19.22 USD -0.88%-1.33%-22.62%-.--%
217.8 USD -0.39%+1.20%-10.56%-.--%
2,979 USD -0.26%+0.92%+15.23%-.--%
196.9 USD -0.13%+2.12%+5.17%-.--%
55.48 USD +0.85%+4.21%+6.32%-.--%
796.7 USD +0.96%+4.29%-1.86%-.--%
61.5 USD +0.11%+1.18%-12.36%-.--%
87.07 USD +1.71%+4.28%+22.44%-.--%
135.5 USD -0.64%+1.86%+0.75%-.--%
82.72 USD +1.80%+1.87%-4.25%-.--%
1,333 USD +2.08%+4.28%+19.40%2.15%
151.9 USD -0.31%+0.88%+3.06%1.66%
280.7 USD +0.79%+4.56%+7.83%1.28%
632.3 USD +0.87%+0.48%+1.16%1.03%
29.85 USD -0.80%-3.40%-40.60%1.02%
242.3 USD +1.32%+5.00%+29.34%0.76%
556.7 USD +1.24%+3.68%+8.12%0.52%
39.31 USD +2.00%+1.60%-10.35%0.50%
48.5 USD +0.04%+1.76%-6.80%0.44%
9,000 JPY +0.98%+1.47%+30.81%0.43%
718.3 USD +1.07%+3.11%+23.56%0.34%
0fe315f1.5-PxqYZLQShtFlrEJK7Bk8IsGhSGAwPppBVVVdZhcrI.ic7Ax755KWIsWSDyHJux9fpJUyXrV3K4_nIXFI8WG-uFpqHd1yUPRR9zCw

ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2020-09-22
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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