Components Leverage Shares 3x Long Taiwan ETP Securities - USD

ETF

3TAE

XS2472196687

Market Closed - London S.E. 11:35:10 2024-06-07 am EDT
9.168 EUR -0.63% Intraday chart for Leverage Shares 3x Long Taiwan ETP Securities - USD

Composition of Leverage Shares 3x Long Taiwan ETP Securities - USD

Weight
879 TWD -1.68%+4.89%+48.23%21.25%
177.5 TWD 0.00%+0.57%+69.86%4.88%
1,275 TWD -1.16%-1.16%+25.62%3.79%
345 TWD 0.00%+4.55%+10.05%2.37%
55.1 TWD +1.66%-1.25%+4.75%2.04%
76 TWD +1.06%+5.70%+17.28%1.89%
126.5 TWD -0.78%+0.40%+5.42%1.89%
37.2 TWD +0.95%+5.38%+31.22%1.75%
23.7 TWD +0.85%-0.63%-12.22%1.65%
50.8 TWD +0.79%-4.51%-23.61%1.54%
58.2 TWD +1.22%+4.68%+27.21%1.52%
153 TWD -0.65%0.00%-20.73%1.51%
62.7 TWD +0.48%-4.42%-20.83%1.51%
39.35 TWD +0.13%+1.16%+0.38%1.49%
159.5 TWD -0.31%+0.63%+18.15%1.48%
28.95 TWD +0.35%+4.51%+12.21%1.46%
80.3 TWD 0.00%+4.29%+7.79%1.43%
27.8 TWD +1.09%+1.83%+1.46%1.40%
25.85 TWD +0.98%+0.58%-3.18%1.33%
52 TWD +2.16%-2.44%-16.53%1.17%
25.2 TWD +1.41%+1.82%+12.75%1.16%
31.8 TWD +0.32%+1.11%+15.22%1.08%
15.4 TWD +1.99%+11.19%+22.71%1.03%
23.5 TWD +0.64%+3.30%+19.29%1.01%
18.8 TWD +1.08%+3.01%+3.87%0.99%
484 TWD -1.83%-6.02%-1.12%0.98%
629 TWD +1.13%+4.83%-11.28%0.98%
273 TWD -2.33%-3.02%+21.60%0.97%
2,365 TWD -1.05%+5.11%-17.60%0.95%
46.2 TWD +0.54%+1.32%-1.28%0.95%
33.05 TWD +1.07%+0.61%-5.16%0.89%
606 TWD 0.00%+0.17%+17.21%0.88%
273.5 TWD +1.11%+2.43%+1.48%0.88%
678 TWD +0.59%+3.20%+13.57%0.85%
107 TWD +0.47%+2.39%+8.52%0.84%
107 TWD +0.47%-0.93%-8.55%0.81%
1,010 TWD +1.00%0.00%0.00%0.79%
218 TWD -1.80%-0.23%+51.92%0.78%
184 TWD -1.87%-1.87%+4.55%0.77%
359.5 TWD -0.14%+2.28%-3.36%0.76%
9.73 TWD +3.73%+8.84%+9.94%0.75%
34.55 TWD +1.77%+3.44%+10.74%0.73%
530 TWD -1.12%-7.02%+12.41%0.69%
222.5 TWD -1.11%-1.55%+14.69%0.68%
111.5 TWD 0.00%+7.73%+27.72%0.67%
84.9 TWD +1.31%+3.03%+6.39%0.66%
491 TWD +7.32%+4.91%-1.80%0.66%
532 TWD -2.21%+1.33%+1.72%0.66%
86.3 TWD -0.69%+0.23%+5.76%0.65%
161.5 TWD +7.67%+8.03%-7.71%0.65%
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Description

XS2472196687
Total Expense Ratio 3.75%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI TAIWAN 25/50 CUSTOM Net Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2022-06-08
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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  4. Components Leverage Shares 3x Long Taiwan ETP Securities - USD