Components Amundi Global Hydrogen ESG Screened UCITS ETF - EUR

ETF

ANRJ

FR0010930644

Market Closed - London S.E. 09:05:18 24/05/2024 pm IST 5-day change 1st Jan Change
35,462 GBX +0.25% Intraday chart for Amundi Global Hydrogen ESG Screened UCITS ETF - EUR -1.14% +9.25%

Composition of Amundi Global Hydrogen ESG Screened UCITS ETF - EUR

Weight
1,364 JPY +3.26%+1.22%+65.51%6.09%
284.9 USD +0.36%-0.23%+18.93%5.58%
435.6 USD +0.76%+0.71%+6.05%5.58%
264.6 USD +0.61%+0.73%-3.36%5.43%
12.02 EUR -0.78%-2.40%+1.26%5.23%
3,94,000 KRW 0.00%-1.01%-21.04%4.70%
26.55 AUD -0.82%-2.55%-8.53%4.69%
401.8 DKK -0.59%-4.22%+7.35%3.88%
25.59 EUR +4.15%+2.36%+113.25%3.65%
167.3 USD +1.25%+4.65%+31.11%2.95%
490.1 SEK -0.57%+0.78%+21.49%2.84%
3,426 JPY +0.97%-0.61%+32.25%2.81%
101.2 CNY -1.31%-0.29%+15.48%2.81%
184.2 USD -0.05%+0.05%+19.75%2.76%
61.52 SEK -0.90%-3.27%-19.77%2.61%
68.86 NOK +0.41%+2.53%+0.67%2.61%
889.4 GBX -3.71%-21.71%-15.94%2.57%
6.556 EUR 0.00%-3.59%-2.59%2.56%
18.16 EUR -0.30%-0.38%-1.60%2.22%
328 NOK +0.68%+1.55%-9.19%2.21%
1,784 GBX -0.11%-3.31%+5.10%1.85%
18.7 EUR +2.61%+3.37%+53.49%1.74%
3,930 JPY +1.45%-1.43%+42.30%1.36%
72.23 CAD +0.67%-1.03%+15.24%1.33%
25.89 EUR -0.54%+1.37%-1.33%1.07%
15.46 EUR -0.13%-1.97%-2.88%0.99%
32.12 EUR +4.83%+8.51%+6.08%0.96%
3.25 USD +5.69%0.00%-27.78%0.76%
16.29 USD +3.56%+32.12%+10.07%0.73%
182.2 EUR +0.29%-1.83%+3.47%0.53%
76.9 NOK -1.54%+1.18%-6.39%0.41%
12.87 EUR 0.00%-7.14%-17.97%0.37%
0.5268 USD -0.34%-1.51%-39.78%0.24%
4.2 CAD +1.69%0.00%-14.46%0.23%
25,000 KRW -1.57%+17.10%+7.76%0.19%
75.48 USD +2.18%+0.48%+21.37%0.19%
0.8747 USD +2.89%+8.98%-45.33%0.15%
6.95 NOK +1.70%+16.89%+0.87%0.08%
0eb3a7c3b108dc69e0f9276f5898c9f._jRWICpX8ch57yCMrPnttbHwckuW0dqsbiZDWdYD3so.qEFhFhkTnLIX223uw5ajgIWXX3_Ut4rOGWpzYJF5rridYyVaQhG-jTqFSw

Description

FR0010930644
Total Expense Ratio 0.45%
Asset Class
Sector
Size
Currency
Provider
Underlying Bloomberg Hydrogen ESG Net Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
27/09/2010
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 35 M€
AuM 1M 33 M€
AuM 3 months 29 M€
AuM 6 months 29 M€
AuM 12 months 33 M€
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