|
Temps réel
Autres places de cotation
|
Varia. 5j. | Varia. 1 janv. | ||
| 740,20 EUR | -0,36% |
|
+0,11% | +24,53% |
Composition: Amundi Global Hydrogen UCITS ETF Acc - EUR
Ajouter à une liste 0 sélectionné | |||||
|---|---|---|---|---|---|
| 2 774,50JPY | +2,57% | +0,73% | 6,8% | ||
| 156,12EUR | -0,05% | +29,67% | 6,72% | ||
| 289,42USD | +5,43% | +232,18% | 6,38% | ||
| 706,06USD | +3,88% | +37,79% | 5,51% | ||
| 516,61USD | -0,93% | +21,21% | 5,19% | ||
| 20,58EUR | +0,44% | +11,45% | 4,86% | ||
| 16,04EUR | -0,62% | -36,27% | 3,79% | ||
| 1 007,17USD | +2,92% | +53,56% | 3,06% | ||
| 367 500,00KRW | +1,94% | +10,36% | 2,9% | ||
| 224,05USD | +1,53% | +15,06% | 2,83% | ||
| 543,80SEK | +2,91% | +16,77% | 2,76% | ||
| 2 847,50JPY | -1,89% | -15,15% | 2,74% | ||
| 148,85DKK | -3,81% | +21,66% | 2,74% | ||
| 1 224,00GBX | +1,24% | +7,23% | 2,61% | ||
| 4,373EUR | -1,26% | +11,70% | 2,59% | ||
| 281,80USD | -0,41% | +14,10% | 2,42% | ||
| 20,54AUD | -1,34% | -6,68% | 2,38% | ||
| 9,935EUR | +1,39% | +11,92% | 2,31% | ||
| 37,69EUR | 0,00% | +23,05% | 2,29% | ||
| 456,30NOK | -2,12% | +10,22% | 2,25% | ||
| 22,02CNY | -1,26% | +12,18% | 1,98% | ||
| 100,05SEK | -0,84% | +41,96% | 1,96% | ||
| 152,49CNY | +2,27% | -10,85% | 1,96% | ||
| 13,30CNY | -0,60% | -26,92% | 1,65% | ||
| 2 132,00GBX | +2,01% | 0,00% | 1,49% | ||
| 167,38EUR | +0,92% | +14,89% | 1,33% | ||
| 77,61CAD | -1,16% | +42,34% | 0,97% | ||
| 26,90EUR | -1,47% | +20,04% | 0,92% | ||
| 2,735USD | -2,32% | +38,83% | 0,63% | ||
| 9,925EUR | +2,06% | +16,76% | 0,56% | ||
| 97,30NOK | -0,92% | -8,38% | 0,46% | ||
| 38,25EUR | -1,16% | +56,44% | 0,36% | ||
| 78 100,00KRW | +0,51% | +170,71% | 0,24% | ||
| 576,50GBX | -3,43% | +170,91% | 0,18% | ||
| 5,820CAD | -0,17% | +66,29% | 0,15% | ||
| 38,48USD | +2,24% | +29,52% | 0,13% | ||
| 127,30GBX | -5,00% | +104,33% | 0,12% | ||
| 19,96USD | +14,06% | +170,04% | 0,07% | ||
Description
| Code ISIN | FR0010930644 |
|---|---|
| Frais de gestion (TER) | 0.45% |
| Catégories d'actif | Actions |
| Taille | |
| Devise | |
| Société de gestion | |
| Sous-jacent | Bloomberg Hydrogen Screened Net Return Index - USD |
| Autres ETFs | |
Caractéristiques
| Politique de dividendes | Capitalisation |
|---|---|
| Méthode de réplication | Physique |
| Juridiction | |
| Structure du fonds | |
| Date de création |
28/09/2010
|
Évolutions des encours - 27/02/2026
| Encours (EUR) | 317 M |
|---|---|
| Encours 1 mois | 286 M |
| Encours 3 mois | 266 M |
| Encours 6 mois | 194 M |
| Encours 12 mois | 59,75 M |
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Toutes les informations financières adaptées au niveau national
















