8
A
Amundi MSCI World Climate Paris Aligned Umweltzeichen UCITS ETF DR
Ordredybde
Generel information
- Årlig omkostning0,25%
- AktivklasseAktie
- KategoriAktier - Globale Large Cap Blend
- BasisvalutaEUR
- UdbyttepolitikAkkumulerende
- Faktaark
The Fund’s investment objective is to track the performance of the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index (cf. “Benchmark index” section) as closely as possible, regardless of whether the Index rises or falls. The Fund is managed so as to achieve the smallest possible gap between changes in its net asset value and changes in that of the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index (hereinafter: the “MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index”). The target for maximum tracking error between changes in the Fund’s NAV and those in the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index is 1%. If the “tracking error” were to exceed 1%, the aim would nevertheless be to remain below 5% of the volatility shown by the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index.
Relaterede ETFer
Eksponering
Fordeling
- Aktier99,9%
Andre har kigget på
Debat
Nyheder
Generel information
- Årlig omkostning0,25%
- AktivklasseAktie
- KategoriAktier - Globale Large Cap Blend
- BasisvalutaEUR
- UdbyttepolitikAkkumulerende
- Faktaark
The Fund’s investment objective is to track the performance of the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index (cf. “Benchmark index” section) as closely as possible, regardless of whether the Index rises or falls. The Fund is managed so as to achieve the smallest possible gap between changes in its net asset value and changes in that of the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index (hereinafter: the “MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index”). The target for maximum tracking error between changes in the Fund’s NAV and those in the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index is 1%. If the “tracking error” were to exceed 1%, the aim would nevertheless be to remain below 5% of the volatility shown by the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index.
Relaterede ETFer
Nyheder
Ordredybde
Eksponering
Fordeling
- Aktier99,9%
Andre har kigget på
Debat
Generel information
- Årlig omkostning0,25%
- AktivklasseAktie
- KategoriAktier - Globale Large Cap Blend
- BasisvalutaEUR
- UdbyttepolitikAkkumulerende
- Faktaark
The Fund’s investment objective is to track the performance of the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index (cf. “Benchmark index” section) as closely as possible, regardless of whether the Index rises or falls. The Fund is managed so as to achieve the smallest possible gap between changes in its net asset value and changes in that of the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index (hereinafter: the “MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index”). The target for maximum tracking error between changes in the Fund’s NAV and those in the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index is 1%. If the “tracking error” were to exceed 1%, the aim would nevertheless be to remain below 5% of the volatility shown by the MSCI World Climate Change Paris Aligned Low Carbon Select Strategy Index.
Relaterede ETFer
Nyheder
Debat
Ordredybde
Eksponering
Fordeling
- Aktier99,9%