Components Amundi MSCI Semiconductors UCITS ETF Acc - EUR

ETF

LU1900066033

Market Closed - Fonds 05:00:00 2026-06-15 EDT 5-day change 1st Jan Change
102.80 GBX +4.27% Intraday chart for Amundi MSCI Semiconductors UCITS ETF Acc - EUR +6.72% +67.21%

Components: Amundi MSCI Semiconductors UCITS ETF Acc - EUR

208.52USD-1.85%+12.04%27.74%
2,400.00TWD+1.05%+54.84%15.14%
378.93USD-3.81%+9.71%13.19%
1,591.20EUR-1.91%+72.69%5.71%
1,034.06USD-4.96%+265.09%4.74%
2,382,000.00KRW+4.11%+265.90%3.41%
513.11USD-6.24%+141.82%3.34%
371.04USD-4.60%+118.08%3.03%
574.32USD-1.96%+124.72%2.98%
118.64USD-7.21%+225.04%2.04%
308.46USD-1.56%+78.32%2%
238.96USD-6.81%+97.80%1.96%
420.24USD-1.72%+55.78%1.72%
216.62USD-1.90%+27.75%1.53%
70,860.00JPY-2.61%+106.47%1.3%
30,340.00JPY+3.13%+54.52%1.3%
4,560.00TWD+2.01%+218.88%0.91%
79.28EUR-1.82%+110.12%0.71%
286.52USD-7.24%+241.03%0.69%
306.12USD-3.09%+41.91%0.59%
1,516.69USD-8.21%+69.71%0.57%
417.31USD-3.49%+117.66%0.51%
81,550.00JPY-4.34%+69.30%0.44%
96.76USD-3.54%+52.99%0.42%
987.80EUR-3.63%+90.84%0.39%
592.00TWD+0.34%+136.33%0.38%
4,484.00JPY-0.09%+109.53%0.35%
119.66USD-4.96%+123.15%0.28%
267.94USD-2.04%+2.87%0.24%
65.68EUR-4.05%+192.69%0.23%
141.00TWD-0.35%+186.29%0.23%
242.72USD-6.44%+70.53%0.21%
153.48USD-5.78%+84.23%0.21%
46,570.00JPY-3.58%+57.09%0.16%
298.90EUR-4.90%+123.48%0.15%
559.50USD-7.62%+71.84%0.14%
14,970.00JPY+0.74%+96.46%0.12%
278.00TWD-1.07%+12.32%0.11%
146.70HKD-4.24%+97.44%0.11%
18,155.00TWD+1.94%+150.07%0.09%
3,785.00TWD-1.30%+37.89%0.08%
678.00TWD+6.94%+38.65%0.08%
500.00TWD+1.01%+33.69%0.07%
4,920.00TWD+2.18%+131.53%0.07%
171.50TWD-1.72%+86.21%0.05%
1,306.99CNY-2.10%+43.66%0.04%
1,045.00TWD+10.00%+157.39%0.04%
3,200.00TWD0.00%+84.97%0.04%
2.400HKD-2.83%-19.19%0.03%
319.00CNY-0.31%+74.28%0.02%

Description

LU1900066033
Total Expense Ratio 0.35%
Asset Class Stocks
Sector
Size
Currency
Provider
Underlying MSCI ACWI IMI Semiconductors & Semiconductor Equipment Filtered NTR Index - USD
Autres ETFs

Features and characteristics

Dividend Policy Capitalisation
Replication Method Physique
Jurisdiction
Fund Structure
Date of creation
2007-03-27
Geographical Focus

Distribution

Retail investor

AuM evolution - 2026-02-26

AuM (GBX) 100B
AuM 1M 95.61B
AuM 3 months 77.68B
AuM 6 months 68.6B
AuM 12 months 56.16B
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