Components Lyxor MSCI Mlnl ESG Ftd (DR) ETF Acc

ETF

MILL

LU2023678449

End-of-day quote Euronext Paris 04:30:00 11/12/2023 am IST 5-day change 1st Jan Change
14.13 USD +0.62% Intraday chart for Lyxor MSCI Mlnl ESG Ftd (DR) ETF Acc +1.37% +16.08%

Composition of Lyxor MSCI Mlnl ESG Ftd (DR) ETF Acc

Weight
4,134 GBX +0.02%+6.44%+8.82%-.--%
2,594 JPY +1.35%+0.99%+1.23%-.--%
3.13 HKD +5.74%+24.21%-12.57%-.--%
3,515 JPY 0.00%+3.99%+1.15%-.--%
2,484 JPY -1.35%+6.50%-3.35%-.--%
233.1 EUR +0.95%+3.93%+26.30%-.--%
26.62 EUR +2.92%-4.43%+6.20%-.--%
12.58 EUR -0.25%+1.53%-10.42%-.--%
179.8 SEK -0.11%+3.12%+1.86%-.--%
535.2 DKK +0.42%-0.47%+18.38%-.--%
1,234 SEK -2.31%-4.90%+2.44%-.--%
58.52 EUR +0.38%-2.37%-0.27%-.--%
25.85 HKD -0.96%+6.16%+7.26%-.--%
16.56 CNY +2.35%+0.36%-11.96%-.--%
2,324 JPY +2.61%+6.00%-1.19%-.--%
74.8 NOK +0.40%+1.84%-5.06%-.--%
118.5 GBX -1.39%+0.42%-28.32%-.--%
1,28,000 KRW -0.78%-0.70%-2.51%-.--%
3,092 JPY -0.06%+1.95%-0.74%-.--%
17.42 HKD +0.35%+10.11%+11.67%-.--%
2,165 GBX +0.42%+2.08%+30.13%-.--%
5,039 JPY -1.02%+0.42%+8.37%-.--%
33.61 USD +2.44%+1.85%-15.19%-.--%
5.574 EUR +1.60%+1.83%-24.74%-.--%
2,367 JPY +0.94%+2.73%+10.09%-.--%
33.51 CAD +0.63%+1.39%+21.85%-.--%
33.94 AUD +2.38%+1.77%+8.99%-.--%
39.34 AUD +3.20%+5.61%-33.25%-.--%
3,499 JPY -0.43%+1.86%+4.48%-.--%
0.415 AUD +6.41%0.00%-19.42%-.--%
8.25 AUD +1.85%+1.73%+12.40%-.--%
56.36 EUR +0.43%+1.18%-3.53%-.--%
3,422 JPY +1.39%+2.36%+20.77%-.--%
3,049 JPY +0.79%+2.32%+11.77%-.--%
52.03 BRL +0.91%+1.05%-19.37%-.--%
50.5 BRL +3.61%+0.46%-20.60%-.--%
12.78 USD +2.00%+3.90%-9.36%-.--%
15.39 CAD +0.98%-1.97%-2.22%-.--%
2,620 JPY -0.11%+5.31%+14.99%-.--%
7,779 JPY +2.57%+6.78%-1.28%-.--%
1,148 JPY 0.00%+3.33%-15.71%-.--%
14,390 JPY -0.79%-0.28%-11.64%-.--%
73.82 USD +1.03%+3.36%-5.52%-.--%
3,967 CHF +0.13%+0.41%+13.69%-.--%
92.99 CHF +0.31%-0.96%-4.69%-.--%
143.4 USD +0.29%+2.82%+11.60%-.--%
1,71,200 KRW -0.75%+3.82%-28.81%-.--%
105.3 CHF +2.53%+1.15%+14.46%-.--%
2a28915.psH123tRBbOwsFH95pWgPxj0Yzla95xbs3qxoHF8T8M._6_GoS58Z_j1xxXQgv_XTEzNU00swvM5yj3H2jM3DIeTs6KCGmZK-OCdZQ

Description

LU2023678449
Total Expense Ratio 0.45%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI ACWI IMI Millennials ESG Filtered Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
09/03/2020
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/03/2024 )

AuM (EUR) 103 M€
AuM 1M 100 M€
AuM 3 months 95 M€
AuM 6 months 46 M€
AuM 12 months 46 M€
  1. Stock Market
  2. ETF
  3. MILL ETF
  4. Components Lyxor MSCI Mlnl ESG Ftd (DR) ETF Acc