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
189.8 USD -0.02%+3.70%-1.41%3.69%
420.2 USD -0.17%+1.32%+11.75%2.99%
176.1 USD +1.16%+4.44%+26.09%1.88%
184.7 USD +0.60%-1.48%+21.56%1.74%
177.5 USD +1.48%+5.34%-28.58%1.16%
524.6 USD +0.65%+2.30%-0.35%0.78%
154.6 USD +0.27%+3.16%-1.34%0.70%
119.6 USD +1.50%+1.42%+19.66%0.62%
835 TWD -0.71%+4.11%+40.81%0.55%
471.9 USD -0.26%-0.90%+33.32%0.54%
924.8 USD -1.98%+2.89%+86.74%0.50%
167.6 USD -0.14%+0.47%+14.40%0.49%
770 USD -0.20%+1.32%+32.09%0.48%
162.7 USD +0.98%-1.90%+9.06%0.48%
280.1 USD +0.10%-0.22%+7.59%0.48%
204.8 USD +1.17%+3.06%+20.43%0.47%
96.62 CHF +1.26%+1.51%-0.91%0.46%
344.2 USD +0.38%-0.64%-0.68%0.46%
166.4 USD +1.27%+3.53%+7.39%0.44%
28.64 USD -0.97%+2.25%-0.52%0.41%
460.3 USD +0.31%+0.72%+7.92%0.39%
395 HKD 0.00%+4.44%+34.54%0.37%
131.2 USD +0.22%+0.87%+20.34%0.36%
795.8 USD +0.35%+1.10%+20.56%0.35%
182.2 USD -0.52%+1.33%+7.27%0.34%
39.31 USD +0.19%+2.24%+16.75%0.33%
63.04 USD -0.43%-0.35%+6.97%0.33%
77,400 KRW -1.02%-2.27%-1.40%0.33%
64.65 USD +1.02%+6.89%+23.03%0.32%
595.3 USD -0.31%+0.38%+12.15%0.31%
103.2 USD -0.12%-2.40%+14.35%0.30%
2,820 GBX +0.54%-4.07%+9.57%0.30%
1,395 USD -1.21%+4.69%+25.00%0.29%
851.1 EUR -0.22%-0.21%+24.86%0.29%
272.4 USD -0.41%-0.95%-8.14%0.28%
12,075 GBX -0.29%-2.08%+13.79%0.27%
48.17 USD -0.32%+0.23%-4.65%0.27%
40.06 USD -0.52%-0.84%+6.26%0.27%
265.8 USD +0.33%+4.90%+14.90%0.27%
76.09 USD -0.42%+3.12%+25.27%0.26%
44.01 USD -0.23%-2.07%-14.23%0.26%
3,447 JPY +0.32%+2.41%+33.06%0.26%
104.1 USD -0.74%-0.62%-5.43%0.25%
61.12 USD +0.08%-1.24%+24.18%0.24%
303.6 USD -1.43%-0.89%-13.48%0.24%
285.4 USD +0.26%+3.16%+8.47%0.24%
171ae4830e5e6aa3808.UuNUrjAJREg0i6mSiRC89EL54JcZ0qFphukCQlfp42Y.O5UsyHd4ASlcxZ7QwHTVsxCqgcV_gfMo87kyeg2oogNmmxreQzsWEmPS6A

Description

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

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2021-12-12
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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