LS BRENT OIL ETCLS BRENT OIL ETCLS BRENT OIL ETC

LS BRENT OIL ETC

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Nyckeltal

Assets under management (AUM)
‪70.44 K‬GBP
Fund flows (1Y)
Dividend yield (indicated)
Discount/Premium to NAV
−0.4%

Om LS BRENT OIL ETC

Issuer
Leverage Shares LLC
Brand
Leverage Shares
Expense ratio
0.35%
Inception date
8 nov. 2023
Index tracked
No Underlying Index
Management style
Passive
ISIN
XS2691037282

Classification

Asset Class
Råvaror
Kategori
Energi
Focus
Råolja
Niche
Första månaden
Strategi
Vanilj
Weighting scheme
Enskild tillgång
Selection criteria
Enskild tillgång

Returns

1 månad3 månaderHittills i år1 år3 år5 år
Price performance
NAV total return

Utdelningar

Utdelningshistorik

Assets under management (AUM)

Fund Flows