Components Leverage Shares 3x Long Total World ETP Securities - USD

ETF

VT3

XS2399364822

End-of-day quote Euronext Paris
- EUR - Intraday chart for Leverage Shares 3x Long Total World ETP Securities - USD

Composition of Leverage Shares 3x Long Total World ETP Securities - USD

Weight
228.9 USD -2.53%-1.76%+18.88%3.69%
443.5 USD -1.33%-4.88%+17.94%2.99%
181 USD -1.58%-5.31%+29.59%1.88%
187.9 USD -2.64%-5.94%+23.69%1.74%
248.5 USD -3.14%-5.61%+0.01%1.16%
573.3 USD +4.45%+14.44%+8.89%0.78%
156.6 USD +3.69%+4.78%-0.10%0.70%
117.6 USD +1.38%+5.11%+17.66%0.62%
1,030 TWD -2.37%-1.44%+73.69%0.55%
462 USD -5.68%-13.60%+30.52%0.54%
118 USD -6.64%-12.56%+138.22%0.50%
169.4 USD +1.49%+1.58%+15.63%0.49%
905.6 USD -3.82%-3.64%+55.35%0.48%
161.2 USD +2.19%+3.93%+8.09%0.48%
272.7 USD +1.28%+3.69%+4.74%0.48%
216.9 USD +1.52%+4.36%+27.50%0.47%
94 CHF +0.41%+0.41%-3.56%0.46%
371.9 USD +0.75%+8.05%+7.31%0.46%
175.3 USD +3.59%+4.24%+13.10%0.44%
30.03 USD +1.80%+5.93%+4.31%0.41%
451.2 USD +1.72%+4.04%+5.78%0.39%
369.2 HKD -0.70%-4.05%+25.75%0.37%
125.9 USD +0.36%-1.11%+15.47%0.36%
846.3 USD -0.53%-4.30%+28.21%0.35%
169.9 USD +3.11%+3.85%+0.03%0.34%
43.98 USD -0.34%+5.37%+30.62%0.33%
65.21 USD +1.46%+3.79%+10.66%0.33%
86,700 KRW -1.14%-1.25%+10.45%0.33%
71.03 USD +1.49%+0.88%+35.17%0.32%
555.1 USD -0.06%+3.39%+4.57%0.31%
97.31 USD -1.18%+0.35%+7.77%0.30%
2,839 GBX +1.45%+0.66%+10.19%0.30%
156 USD -7.91%-10.60%+39.74%0.29%
850 EUR -2.40%-14.16%+24.54%0.29%
261 USD +1.45%+4.20%-11.98%0.28%
12,320 GBX +0.62%+1.72%+16.11%0.27%
48.52 USD +2.32%+4.86%-3.96%0.27%
42.03 USD +1.40%+2.31%+11.49%0.27%
251.2 USD -0.35%+3.74%+8.61%0.27%
70.9 USD -1.39%-2.74%+16.73%0.26%
43.15 USD +4.73%+4.94%-15.90%0.26%
3,141 JPY -3.47%-4.35%+21.25%0.26%
104.7 USD +1.91%+1.58%-4.90%0.25%
60.91 USD +1.11%+1.99%+23.75%0.24%
325.6 USD +0.18%+10.21%-7.21%0.24%
251.2 USD -1.88%-0.54%-4.53%0.24%
18812ee80738edc4914.0n95DF5sGs909F4NGFLUdb3niXZe_1L7HjpTi9kegvQ.qjosZWcVKbcVjiY1QiutJI2v3CxurADLfG4qwpdOxoa7Gw9JLQ5yjiScBw

Description

XS2399364822
Total Expense Ratio 3.75%
Asset Class Actions
Sector
Size
Currency
Provider
Underlying FTSE Global All Cap Net Tax (US RIC) Index - USD

Features and characteristics

Dividend Policy Capitalisation
Replication Method Autre
Jurisdiction
Fund Structure
Replication Model
Date of creation
2021-12-13
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-06-27 )

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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