Components Leverage Shares -3x Short Clean Energy ETP Securities - USD

ETF

SICL

XS2399371108

End-of-day quote Euronext Amsterdam
- EUR - Intraday chart for Leverage Shares -3x Short Clean Energy ETP Securities - USD

Composition of Leverage Shares -3x Short Clean Energy ETP Securities - USD

Weight
130.7 USD +3.99%+11.24%-1.08%11.26%
49.26 USD +1.44%+4.34%-47.37%6.21%
276.7 USD -0.52%+10.78%+60.63%6.17%
92.45 USD +0.59%-1.51%+1.63%5.58%
194.6 DKK +0.23%+1.81%-9.22%5.40%
3.315 USD +3.59%+7.80%-26.33%5.21%
419 DKK +5.14%+3.66%+11.94%3.34%
3.68 EUR +1.18%-1.58%-19.21%3.28%
14.51 USD +8.53%+21.02%-26.08%2.75%
5.47 HKD 0.00%+7.47%+19.96%2.30%
1,875 INR -0.25%-0.74%+17.40%2.28%
2,168 JPY +2.70%+7.03%+19.05%2.15%
16.64 USD +7.22%+5.79%+12.43%1.56%
23.48 CAD +1.87%-1.26%-2.45%1.52%
22.82 USD +7.24%+12.91%-14.21%1.43%
32,200 KRW +1.74%-0.16%-18.48%1.41%
75.26 USD +2.90%+3.74%-0.70%1.38%
26.7 CNY +0.04%+2.10%+14.40%1.36%
14.66 EUR +3.60%-0.34%-20.86%1.23%
8.17 USD -1.45%+7.22%-47.43%1.13%
35.85 USD +0.14%-0.50%+10.61%1.05%
14.18 USD +2.72%+10.91%-15.57%1.04%
74.15 EUR +0.47%-3.01%-11.78%1.01%
29.78 USD +0.57%+12.17%-19.38%1.00%
5.08 USD +12.64%+24.82%-66.69%1.00%
3.41 USD +10.36%+22.66%-29.40%0.90%
18.9 CNY -0.53%-0.16%-17.47%0.76%
34.92 CAD +7.05%+8.18%+3.68%0.75%
16.96 USD -0.24%-8.62%-32.75%0.74%
4.31 CAD +3.61%+4.36%-12.22%0.73%
42.86 CAD +2.12%-1.04%+12.38%0.72%
19.65 USD +0.61%+11.27%-25.09%0.66%
17.12 EUR +0.35%+0.71%+9.81%0.59%
22.39 USD +0.36%-1.84%+4.14%0.59%
11.78 EUR +6.70%+2.17%-36.70%0.57%
1,008 JPY +1.82%-2.04%-15.22%0.50%
50,600 KRW +0.40%-1.75%-27.92%0.48%
22.86 EUR +6.52%+11.08%-23.49%0.48%
0.0114 CHF +2.70%+5.56%-94.17%0.47%
21.48 EUR +4.88%-3.68%-23.50%0.46%
9.53 CAD +8.17%+8.05%+3.70%0.46%
141.9 CHF +0.14%-1.87%-5.08%0.46%
16.5 HKD -0.24%+3.91%+25.04%0.46%
25.9 EUR +6.85%+7.29%-10.26%0.46%
100.7 CNY -0.16%-1.75%+14.97%0.45%
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Description

XS2399371108
Total Expense Ratio 4.75%
Asset Class
Sector
Size
Currency
Provider
Underlying S&P Global Clean Energy Net Total Return Index - USD

Features and characteristics

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

Distribution

Retail investor

AuM evolution ( 2023-11-29 )

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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