NAV

Risultati: 327 Risultati

Nome ISIN NAV Data calcolo NAV Emittente
Eurozone Government Bond ESG Tilted UCITS ETF LU2504537445 41,38 14/04/2025 Xtrackers II
Eurozone Government Bond Short Daily Swap UCITS ETF LU0321463258 84,81 14/04/2025 Xtrackers II
Eurozone Government Bond UCITS ETF LU0290355717 221,00 14/04/2025 Xtrackers II
Eurozone Government Bond UCITS ETF LU2009147591 60,36 14/04/2025 Xtrackers II
Eurozone Government Bond UCITS ETF LU0643975591 172,92 14/04/2025 Xtrackers II
Eurozone Government Green Bond UCITS ETF LU2504532487 34,47 14/04/2025 Xtrackers II
Eurozone Inflation-Linked Bond UCITS ETF LU0290358224 236,46 14/04/2025 Xtrackers II
FTSE 100 Income UCITS ETF LU0292097234 9,20 14/04/2025 Xtrackers
FTSE 100 Short Daily Swap UCITS ETF LU0328473581 3,48 14/04/2025 Xtrackers
FTSE 100 UCITS ETF LU0838780707 14,57 14/04/2025 Xtrackers
FTSE 250 UCITS ETF LU0292097317 20,76 14/04/2025 Xtrackers
FTSE Developed Europe ex UK Real Estate UCITS ETF IE00BP8FKB21 52,01 14/04/2025 Xtrackers (IE) Plc
FTSE Developed Europe Real Estate UCITS ETF LU0489337690 22,10 14/04/2025 Xtrackers
FTSE MIB UCITS ETF LU0274212538 34,00 14/04/2025 Xtrackers
FTSE Vietnam Swap UCITS ETF LU0322252924 22,40 14/04/2025 Xtrackers
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