NAV

Risultati: 353 Risultati

Nome ISIN NAV Data calcolo NAV Emittente
Stoxx Europe 600 UCITS ETF LU0328475792 155,59 30/01/2026 Xtrackers
Stoxx Europe 600 UCITS ETF LU1772333404 147,92 30/01/2026 Xtrackers
Stoxx Europe 600 UCITS ETF LU2581375156 94,45 30/01/2026 Xtrackers
Stoxx European Market Leaders UCITS ETF IE00BNKF6C99 63,82 30/01/2026 Xtrackers (IE) Plc
Stoxx Global Select Dividend 100 Swap UCITS ETF LU0292096186 34,44 30/01/2026 Xtrackers
Switzerland UCITS ETF LU0274221281 148,04 30/01/2026 Xtrackers
Target Maturity Sept 2027 EUR Corporate Bond UCITS ETF LU2673522830 9,20 30/01/2026 Xtrackers II
Target Maturity Sept 2027 EUR Corporate Bond UCITS ETF LU2673523218 26,17 30/01/2026 Xtrackers II
Target Maturity Sept 2028 EUR Corporate Bond UCITS ETF LU2810185665 36,05 30/01/2026 Xtrackers II
Target Maturity Sept 2029 EUR Corporate Bond UCITS ETF LU2673523309 26,42 30/01/2026 Xtrackers II
Target Maturity Sept 2029 EUR Corporate Bond UCITS ETF LU2673522913 9,23 30/01/2026 Xtrackers II
Target Maturity Sept 2029 Italy and Spain Government Bond UCITS ETF LU0484969463 206,73 30/01/2026 Xtrackers II
Target Maturity Sept 2030 EUR Corporate Bond UCITS ETF LU2809864296 36,09 30/01/2026 Xtrackers II
Target Maturity Sept 2031 EUR Corporate Bond UCITS ETF LU2673523481 30,26 30/01/2026 Xtrackers II
Target Maturity Sept 2031 EUR Corporate Bond UCITS ETF LU2673523135 9,98 30/01/2026 Xtrackers II
Risultati 301-315 di 353
Risultati per pagina

CIO View