Components Leverage Shares 3x Long Taiwan ETP Securities - USD

ETF

3TAE

XS2472196687

Market Closed - London S.E. 11:35:16 2024-06-12 am EDT
9.936 EUR +9.13% Intraday chart for Leverage Shares 3x Long Taiwan ETP Securities - USD

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

Weight
909 TWD +2.94%+8.34%+53.29%21.25%
187.5 TWD +3.88%+9.65%+79.43%4.88%
1,300 TWD +2.36%+4.84%+28.08%3.79%
344 TWD +1.03%+2.23%+9.73%2.37%
54.9 TWD -0.36%+1.10%+4.37%2.04%
76 TWD -1.68%+3.26%+17.28%1.89%
126.5 TWD 0.00%-0.39%+5.42%1.89%
37.25 TWD +0.40%+2.48%+31.39%1.75%
23.3 TWD -0.21%-1.27%-13.70%1.65%
50.1 TWD -1.38%-3.09%-24.66%1.54%
57.9 TWD -1.36%+2.66%+26.56%1.52%
153.5 TWD +1.32%0.00%-20.47%1.51%
60.9 TWD -0.98%-4.40%-23.11%1.51%
39.25 TWD +0.13%+0.26%+0.13%1.49%
162.5 TWD +1.56%+1.88%+20.37%1.48%
28.75 TWD +0.52%+1.41%+11.43%1.46%
80.3 TWD +1.65%+1.26%+7.79%1.43%
27.7 TWD -0.36%+0.91%+1.09%1.40%
25.7 TWD -0.19%+0.59%-3.75%1.33%
51.8 TWD -0.58%+0.19%-16.85%1.17%
25.05 TWD -0.20%+2.66%+12.08%1.16%
31.45 TWD -0.47%0.00%+13.95%1.08%
15.15 TWD -3.81%+8.21%+20.72%1.03%
23.65 TWD +0.21%+2.38%+20.05%1.01%
18.55 TWD -0.54%+0.82%+2.49%0.99%
480.5 TWD -0.21%-3.12%-1.84%0.98%
626 TWD 0.00%+2.62%-11.71%0.98%
274.5 TWD 0.00%-0.18%+22.27%0.97%
2,360 TWD +6.55%+2.83%-17.77%0.95%
45.5 TWD 0.00%-0.66%-2.78%0.95%
33 TWD +0.46%+0.92%-5.31%0.89%
607 TWD +2.02%+2.02%+17.41%0.88%
270.5 TWD 0.00%-0.18%+0.37%0.88%
668 TWD +0.30%-0.45%+11.89%0.85%
106 TWD -0.93%-0.47%+7.51%0.84%
104.5 TWD +0.48%-2.34%-10.68%0.81%
991 TWD +1.12%-3.79%-1.88%0.79%
191.5 TWD -3.04%-9.24%+33.45%0.78%
185.5 TWD +1.64%-1.07%+5.40%0.77%
349.5 TWD -0.29%-3.45%-6.05%0.76%
9.42 TWD -1.88%+0.75%+6.44%0.75%
34.85 TWD -0.14%+2.50%+11.70%0.73%
541 TWD +1.31%+1.31%+14.74%0.69%
226 TWD -0.22%+0.22%+16.49%0.68%
112.5 TWD +0.45%+1.35%+28.87%0.67%
85.9 TWD +1.90%+2.02%+7.64%0.66%
484 TWD +0.41%+4.88%-3.20%0.66%
536 TWD +1.32%+0.19%+2.49%0.66%
85.6 TWD -0.47%-0.47%+4.90%0.65%
160.5 TWD +0.31%+5.94%-8.29%0.65%
ffa3045b47fd38421347cc60431426e.fuYajEe5YPYq8d89Y5467nYrCtRjhdL02BF5TnZbn6Y.IahItSbILZ9YmIVbLdRW2zdkOJMT35C-ikk4JyQM-s8E3y-1cOkpkhnG6w

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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