Components AMUNDI MSCI UK IMI SRI PAB UCITS ETF (D) - EUR

ETF

CUIK

LU2368674631

Real-time BOERSE MUENCHEN 11:35:27 26/06/2024 am IST 5-day change 1st Jan Change
14.76 EUR 0.00% Intraday chart for AMUNDI MSCI UK IMI SRI PAB UCITS ETF (D) - EUR +0.39% +10.13%

Composition of AMUNDI MSCI UK IMI SRI PAB UCITS ETF (D) - EUR

Weight
12,572 GBX +0.18%+1.08%+18.40%5.19%
3,636 GBX +0.57%+0.67%+16.24%4.73%
9,612 GBX +0.15%+1.16%+3.49%4.66%
55.53 GBX -0.02%+0.95%+16.41%4.14%
4,386 GBX +0.17%+0.02%-19.23%3.54%
74.1 USD -2.20%-4.85%+7.14%3.48%
207.5 GBX +0.65%+0.07%+34.06%3.48%
1,834 GBX +0.30%+1.56%-1.51%3.16%
3,126 GBX +0.51%+1.01%+28.46%3.08%
2,704 GBX +0.69%+1.13%+17.60%2.62%
9,286 GBX +0.30%+2.41%+14.04%2.51%
459.8 GBX +0.32%+0.66%+3.99%2.32%
8,655 GBX +0.70%-0.69%-18.18%2.15%
2,136 GBX +0.90%+3.42%+26.05%2.13%
728.3 GBX -0.01%+0.89%+9.27%1.91%
70.56 GBX -0.14%+0.03%+3.06%1.83%
905.8 GBX +0.40%-1.81%+1.78%1.75%
313 GBX +0.98%-0.06%+41.29%1.70%
4,040 GBX +0.34%-2.75%-20.26%1.69%
1,149 GBX -0.09%-3.44%-13.79%1.45%
182.6 GBX -1.06%-0.27%+49.64%1.39%
4,680 GBX +0.56%-7.11%-0.73%1.36%
876.8 GBX +0.54%-0.80%+7.18%1.30%
232.2 GBX +0.35%-5.55%-5.24%1.28%
229 GBX -0.09%+1.06%-8.72%1.22%
481.6 GBX +0.32%+1.24%+10.44%1.20%
2,510 GBX +0.50%+0.12%+5.53%1.16%
4,168 GBX +0.42%-0.12%+31.12%1.16%
409 GBX -0.82%-6.02%+2.35%1.05%
1,166 GBX +0.56%+20.33%+38.01%1.04%
4,119 GBX +0.51%-1.35%+14.41%0.98%
872.8 GBX +0.48%+0.91%+11.19%0.96%
2,522 GBX +0.07%+5.48%+27.88%0.94%
2,782 GBX +1.90%+1.56%+18.44%0.94%
623.5 GBX +0.08%-8.38%-5.46%0.93%
904.2 GBX +0.53%-0.72%-13.84%0.93%
1,088 GBX +0.74%+0.79%-7.85%0.92%
289.3 GBX +0.56%-4.39%+5.62%0.86%
304.7 GBX +0.63%+1.61%-4.84%0.83%
28.55 CAD -1.38%-0.21%-4.10%0.81%
975.9 GBX +0.34%-0.73%-31.31%0.79%
192.8 GBX -0.59%-1.27%+1.25%0.74%
2,011 GBX +1.00%-2.02%+5.54%0.73%
2,284 GBX +0.35%-2.74%-3.56%0.72%
137.7 GBX -0.72%-2.05%+0.43%0.69%
2,638 GBX +0.44%+1.47%-2.12%0.65%
1,500 GBX +0.35%+1.46%-11.60%0.65%
8,433 GBX +0.99%+1.04%+17.77%0.63%
2,232 GBX +0.72%-1.86%+31.87%0.62%
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Description

LU2368674631
Total Expense Ratio 0.18%
Asset Class
Sector
Size
Currency
Provider
Underlying 100% MSCI UK IMI SRI FILTERED PAB NR Index - GBP

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
23/09/2021
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 1 M€
AuM 1M 1 M€
AuM 3 months 2 M€
AuM 6 months 77 M€
AuM 12 months 39 M€
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  4. Components AMUNDI MSCI UK IMI SRI PAB UCITS ETF (D) - EUR