Components Amundi MSCI Semiconductors ESG Screened UCITS ETF Acc - EUR

ETF

LYTWN

LU1900066033

End-of-day quote Berne S.E. 5-day change 1st Jan Change
- CHF -.--% Intraday chart for Amundi MSCI Semiconductors ESG Screened UCITS ETF Acc - EUR -.--% -.--%

Composition of Amundi MSCI Semiconductors ESG Screened UCITS ETF Acc - EUR

Weight
124 USD -1.91%-5.19%+150.37%32.51%
960 TWD 0.00%-2.14%+61.89%10.78%
1,587 USD -0.34%-8.53%+42.14%9.75%
960 EUR +1.42%-2.92%+40.82%6.81%
159.5 USD +1.23%-1.43%+8.18%4.65%
195.2 USD -1.10%-9.43%+34.93%3.41%
232.5 USD +0.16%-3.11%+43.48%3.06%
193.4 USD +0.17%+0.35%+13.48%2.84%
30.59 USD +0.16%-0.10%-39.12%2.72%
132.2 USD -7.12%-8.29%+54.94%2.34%
1,056 USD +0.01%-0.52%+34.80%2.22%
35,370 JPY +1.64%+1.32%+40.09%1.88%
226.7 USD -0.51%-1.23%+14.16%1.79%
814.9 USD +0.19%-1.77%+40.18%1.67%
2,36,500 KRW -0.21%-0.42%+67.14%1.28%
265 USD -1.18%+0.12%+15.38%1.10%
68.73 USD +0.67%-6.16%+13.96%1.04%
89.43 USD -0.69%+0.46%-0.83%0.89%
1,395 TWD -0.71%-7.00%+37.44%0.86%
33.99 EUR -1.11%-2.84%-10.08%0.79%
61,610 JPY +1.28%-3.04%+76.19%0.53%
810.7 USD -0.70%-1.77%+28.52%0.52%
36.32 EUR -1.43%-5.49%-19.74%0.51%
700 EUR +0.43%-4.03%+48.95%0.50%
67.86 USD -0.45%+0.34%-18.76%0.50%
6,407 JPY +2.71%+10.72%+33.52%0.49%
2,968 JPY -0.90%-3.69%+16.34%0.41%
134.5 USD +0.94%+0.86%+12.24%0.36%
249.9 USD +0.80%-3.90%+45.07%0.34%
56.4 TWD -0.35%-1.91%+7.22%0.32%
105.6 USD -0.51%-0.19%-6.07%0.30%
105.2 USD +2.21%-3.08%-20.36%0.29%
147.6 USD +0.48%-0.26%+35.98%0.29%
172 TWD -0.29%-3.37%+27.41%0.26%
155.8 EUR +1.23%-0.54%+14.22%0.21%
112.4 USD -1.27%-0.46%-0.20%0.20%
606 TWD -1.14%-2.10%+17.21%0.19%
56.99 USD +0.81%-4.64%-17.39%0.18%
530 TWD 0.00%-5.86%+12.41%0.14%
2,450 TWD -2.97%-11.71%-25.19%0.11%
2,329 JPY +1.42%-1.67%+10.12%0.10%
2,162 JPY +0.77%-1.10%-20.00%0.09%
2,530 TWD -5.42%-6.64%+3.27%0.08%
466.5 TWD -3.91%-10.29%-6.70%0.07%
538 TWD +1.51%-0.92%-8.35%0.06%
3.96 HKD +1.54%-5.48%-12.94%0.06%
1,540 TWD -2.22%-5.23%-11.49%0.06%
25.05 TWD -1.38%-6.18%-17.73%0.05%
68.2 TWD -0.44%-6.19%-12.56%0.05%
118 TWD -2.88%-6.72%+44.79%0.04%
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Description

Features and characteristics

Dividend Policy Capitalisation
Replication Method Physique
Jurisdiction
Fund Structure
Replication Model
Date of creation
28/03/2007
Geographical Focus

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 319 M€
AuM 1M 271 M€
AuM 3 months 281 M€
AuM 6 months 146 M€
AuM 12 months 36 M€
  1. Stock Market
  2. ETF
  3. LYTWN ETF
  4. Components Amundi MSCI Semiconductors ESG Screened UCITS ETF Acc - EUR