19.68
-0.58%
Status:
Continuous
Last Trade:
25/12/29 10:33:08 AM
| Opening | 19.782 |
| Day High | 19.782 |
| Day Low | 19.65 |
| Closing Price | N.A. |
| Number Trades | 24 |
| Turnover | 355,082.716 |
| Total Quantity | 18,038 |
| Reference Close | 19.794 - 25/12/23 5:55:00 PM |
| Year High | 21.41 - 25/11/12 |
| Year Low | 10.418 - 25/04/07 |
| 1 Month Performance | -2.33% |
| 6 Months Performance | +17.16% |
| Performance Year to Date | +61.13% |
| 1 Year Performance | +61.21% |
Number Trades: 24
Total Quantity: 18,038
| 10:33:08 | 19.68 | -0.58% |
| 10:30:28 | 19.702 | -0.46% |
| 10:28:58 | 19.712 | -0.41% |
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
- 25/12/09 - 1.44 EUR
- 24/12/10 - 1.22 EUR
- All
