Opening 8.448
Day High 8.456
Day Low 8.356
Day closing auction price 8.378
Number Trades 128
Turnover 2,919,722.25
Total Quantity 347,678
Reference Close 8.393 - 07/29/21
Year High 8.856 - 06/08/21
Year Low 5.938 - 01/28/21
1 Month Performance -1.21%
6 Months Performance +38.00%
Performance Year to Date +30.16%
1 Year Performance +58.48%
Legenda
Number Trades: 128   Total Quantity: 347,678
17:28:41 8.378 -1.00%
17:28:11 8.378 -1.00%
17:28:11 8.378 -1.00%

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%
Multiplier
Subscription, Redemption, Performance Fees NO
Currency Denomination EUR
Instrument - Reuters Ric LEVMIB.MI
iNAV - Reuters Ric .VLLEVMIB
Issuer Multi Units France
Segment Structured ETFs
Benchmark FTSE MIB DAILY LEVERAGED RT NET-OF-TAX (LUX) TR
Benchmark Style Sviluppati
Benchmark Area LEVERAGED LONG
Protection Level
EMS 313,900
Specialist obligation (Max spread) 1.50%
Dividends Annually
Instrument - Bloomberg Ticker LEVMIB IM
iNAV - Bloomberg Ticker -

Documents

Dividends

  • 07/07/21 - 0.15 EUR
  • 12/09/20 - 0.04 EUR
  • All

Quotes, Book, Dividends, Summarised and Detailed Profile, Yield of Structured ETF Lyxor Ftsemib Dai 2x Lev Ucits Etf Dist


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