Components Amundi Global Hydrogen ESG Screened UCITS ETF - EUR

ETF

ANRJ

FR0010930644

Market Closed - London S.E. 11:35:22 2024-05-23 EDT 5-day change 1st Jan Change
35,375 GBX -0.59% Intraday chart for Amundi Global Hydrogen ESG Screened UCITS ETF - EUR -1.51% +9.63%

Composition of Amundi Global Hydrogen ESG Screened UCITS ETF - EUR

Weight
1,330 JPY +1.80%-1.23%+61.33%6.09%
284.7 USD -0.23%-1.14%+18.78%5.58%
433.4 USD -0.32%+0.80%+5.46%5.58%
263.1 USD -0.60%+2.30%-3.96%5.43%
12.12 EUR -1.34%-1.98%+2.06%5.23%
383,000 KRW -0.39%-4.84%-23.25%4.70%
26.99 AUD -1.14%+3.69%-7.00%4.69%
404.2 DKK -1.51%-6.52%+7.99%3.88%
24.57 EUR +2.63%-3.34%+104.75%3.65%
164.1 USD +2.07%+2.10%+28.90%2.95%
492.9 SEK +0.80%+1.19%+22.19%2.84%
3,403 JPY +0.44%+1.52%+31.36%2.81%
104.9 CNY +4.88%-0.27%+19.74%2.81%
185.2 USD -1.26%+0.63%+20.48%2.76%
62.08 SEK -0.89%-2.91%-19.04%2.61%
68.58 NOK -0.61%+2.11%+0.26%2.61%
1,005 GBX -10.86%-12.04%-5.01%2.57%
6.606 EUR -1.02%-3.12%-1.84%2.56%
18.22 EUR -1.73%-0.05%-1.30%2.22%
325.8 NOK -0.97%+0.87%-9.80%2.21%
1,786 GBX -1.16%-2.83%+5.21%1.85%
18.22 EUR +0.47%-0.14%+49.59%1.74%
3,944 JPY +1.05%-1.13%+42.85%1.36%
71.82 CAD +0.49%-1.62%+14.58%1.33%
26.03 EUR -1.51%+2.00%-0.80%1.07%
15.48 EUR -1.28%-1.90%-2.75%0.99%
30.64 EUR -0.65%+0.66%+1.19%0.96%
3.235 USD -5.13%-5.20%-27.74%0.76%
16.44 USD -3.26%+35.20%+11.72%0.73%
181.7 EUR -0.59%-1.82%+3.18%0.53%
78.1 NOK +0.26%+2.76%-4.93%0.41%
13.31 EUR -1.26%-2.92%-15.17%0.37%
0.527 USD -0.73%-3.57%-39.41%0.24%
4.185 CAD -1.99%-1.76%-14.77%0.23%
25,000 KRW +22.25%+23.15%+7.76%0.19%
74.48 USD -1.75%-0.24%+19.50%0.19%
0.852 USD -4.77%+3.19%-46.48%0.15%
6.834 NOK +9.62%+14.93%-0.81%0.08%
3786dfad43b3c78af285b82eaa5ea9.XXY6CfJ0to5QYH2ckQpX09Ya5Kkxerv-LC8HWU3AFFw.bk9vXZYAh8YXFBbppGkYu6wuvplhLZaIXmRSBh-BfgMMRWI4gR_R2QQuCg

Description

FR0010930644
Total Expense Ratio 0.45%
Asset Class
Sector
Size
Currency
Provider
Underlying Bloomberg Hydrogen ESG Net Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2010-09-26
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 35 M€
AuM 1M 33 M€
AuM 3 months 29 M€
AuM 6 months 29 M€
AuM 12 months 33 M€
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