Opening 11.762
Day High 11.952
Day Low 11.60
Closing auction price 11.942
Number Trades 227
Turnover 2,934,758.874
Total Quantity 249,400
Reference Close 11.942 - 24/12/19
Year High 14.236 - 24/05/20
Year Low 9.985 - 24/01/17
1 Month Performance -6.94%
6 Months Performance -6.13%
Performance Year to Date +16.21%
1 Year Performance +15.81%
Legenda
Number Trades: 227   Total Quantity: 249,400
17:35:07 11.942 -0.47%
17:17:54 11.948 -0.42%
17:17:45 11.952 -0.38%

Instrument Info

Instrument Type ETF STRUTTURATI
Class Class 2 With Leverage 2
Alphanumeric Code LEVMIB
Isin Code FR0010446658
Lot Size 1.00
Total Annual Fees 0.60%
Currency Denomination EUR
Issuer MULTI UNITS FRANCE
Segment Structured ETFs
Benchmark FTSEMIB DAILY LEV RT
Benchmark Style Developed Markets
Benchmark Area EQUITY EUROPE - SINGLE COUNTRY
Dividends ANNUAL
SFDR
iNAV - Bloomberg Ticker

Documents

Dividends

  • 24/12/10 - 1.22 EUR
  • 23/12/12 - 0.50 EUR
  • All

Quotes, Book, Dividends, Summarised and Detailed Profile, Yield of Structured ETF Amundi Ftse Mib Daily (2x) Leveraged Ucits Etf


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