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LYXOR MSCI EASTERN EUROPE EX RUSSIA UCITS ETF - DIST - EUR

(EAST)
Delayed Swiss Exchange  -  11:40:53 2023-01-30 am EST
26.47 CHF   -0.97%
2015LYXOR UCITS ETF EASTERN EUROPE (CECE NTR EUR) Announces Audited Earnings Results for the Year Ended October 31, 2014
CI
2014Lyxor ETF Eastern Europe Announces Unaudited Earnings Results for the Year Ended December 31, 2013
CI
2013Lyxor ETF Eastern Europe (CECE EUR) Reports Earnings Results for the Year Ended October 31, 2012
CI
 SummaryQuotesChartsNewsHeatmapComponents 
Quotes 5-day view   Delayed Quote. Delayed Swiss Exchange
01/24/2023 01/25/2023 01/26/2023 01/27/2023 01/30/2023 Date
26.8(c) 26.435(c) 26.565(c) 26.73(c) 26.47(c) Last
+1.21% -1.36% +0.49% +0.62% -0.97% Change
1 000 0 0 8 015 0 Volume
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Investment objective
The LYXOR EASTERN EUROPE (CECE NTR EUR) UCITS ETF is a UCITS compliant exchange traded fund that aims to track the benchmark index CECE EUR Net Total Return. CECE is a capitalization-weighted index consisting of Czech, Hungarian and Polish blue chip stocks which are members of the respective country index: CTX Czech Traded Index, HTX Hungarian Traded Index and PTX Polish Traded Index. The index is calculated and disseminated in real-time by Wiener Borse
All news about LYXOR MSCI EASTERN EUROPE EX RUSSIA UCITS ETF - DIST - EUR
2015LYXOR UCITS ETF EASTERN EUROPE (CECE NTR EUR) Announces Audited Earnings Results for th..
CI
2014Lyxor ETF Eastern Europe Announces Unaudited Earnings Results for the Year Ended Decemb..
CI
2013Lyxor ETF Eastern Europe (CECE EUR) Reports Earnings Results for the Year Ended October..
CI
2012Lyxor ETF Eastern Europe (CECE EUR) Reports Earnings Results for the Year Ended October..
CI
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Lyxor MSCI Eastern Europe ex Russia UCITS ETF - Dist - EUR Technical Analysis Chart | MarketScreener
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Description
Asset Classes Equities
Geographical Zones Eastern Europe
Sector No restriction
Size Large Cap
Mid Cap
Geographical Exclusions Ex Russia
Index ETF MSCI EM Eastern Europe ex Russia Net Total Return Index - EUR
Currency EUR
Provider Lyxor
Features and characteristics
Jurisdiction Luxembourg
Structure SICAV
Date of creation 2020-07-02
Dividend Policy Distribution
Replication Method Indirect (Synthetic)
Replication Model Unfunded Swap
AuM evolution (2022-10-31)
Last one 3.76 M EUR
1-month 3.35 M EUR
3 months 3.14 M EUR
6 months 3.4 M EUR
1-year 5.79 M EUR