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

ETF

3ICL

XS2399371017

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

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

Weight
113.4 USD -0.76%+2.41%-14.14%7.79%
191.6 DKK -3.82%-0.52%-10.59%7.47%
12.28 EUR -0.24%+1.07%+3.50%7.18%
96.51 USD -0.61%-1.16%+6.09%6.63%
48.71 USD +0.62%-6.70%-47.96%5.54%
196.3 USD -0.63%+3.59%+13.97%5.23%
419.5 DKK -2.98%+1.06%+12.08%3.73%
3.806 EUR -1.01%+2.04%-16.44%2.95%
1,832 INR -0.06%+6.81%+14.71%2.59%
3.2 USD -1.54%+10.73%-28.89%2.26%
2,010 JPY +2.97%+1.29%+10.32%2.06%
25.99 CNY +0.81%+1.44%+11.35%1.92%
11.42 USD -3.95%-0.87%-41.82%1.80%
5.32 HKD +0.95%-7.48%+16.67%1.79%
24.1 CAD +2.08%+10.35%+0.12%1.45%
71.36 USD -1.56%+1.00%-5.85%1.39%
14.71 EUR -0.20%+3.01%-20.59%1.25%
12.92 USD +4.79%+11.86%-12.70%1.17%
31,800 KRW +2.75%+9.84%-19.49%1.11%
10.5 BRL -17.53%+1.65%+18.90%1.10%
18.5 CNY -0.64%-2.22%-19.21%0.98%
73.2 EUR +1.17%+2.66%-12.91%0.97%
10.74 USD -2.01%-15.17%-36.07%0.94%
6.6 USD +2.96%-7.43%-57.53%0.92%
6.42 HKD -2.73%+0.31%-0.93%0.88%
36.05 USD +0.59%-3.35%+11.23%0.81%
32.12 CAD +0.50%+7.75%-4.63%0.68%
17.04 EUR +0.35%+0.53%+9.30%0.67%
101.4 CNY +0.01%-3.38%+15.82%0.66%
4.67 CNY +0.21%-1.89%+6.86%0.66%
19.14 USD -0.10%-3.24%-24.11%0.62%
4.15 USD -1.19%-0.72%-72.79%0.62%
14.24 EUR -0.90%-1.93%+36.92%0.61%
22.62 USD -0.04%-0.83%+5.21%0.60%
50,400 KRW +0.60%+4.67%-28.21%0.58%
13.98 CNY -1.34%-3.92%-32.53%0.57%
21.74 EUR -0.91%+0.28%-22.58%0.57%
0.01 CHF -6.54%-3.85%-94.88%0.56%
2.82 USD -1.05%+2.55%-41.61%0.55%
11 EUR -0.18%-1.87%-40.89%0.53%
10.54 CNY +0.57%-1.50%-32.61%0.50%
91.18 CLP +0.75%-1.43%-6.48%0.50%
42.1 CAD -1.64%-1.80%+10.38%0.48%
21.14 EUR +1.73%+2.72%-29.25%0.47%
49 EUR +0.95%+2.73%-19.08%0.43%
24.72 EUR 0.00%-7.49%-14.35%0.41%
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Description

XS2399371017
Total Expense Ratio 3.75%
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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