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Lyxor Euro Overnight Return UCITS ETF - Acc | ![]() |
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Handelsdaten |
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ETF Infos | ||||||||
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INDEX | ![]() |
Solactive Euro Overnight Return Index | ![]() |
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STRUKTUR | ![]() |
Swap-basiert | ![]() |
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INDEXANBIETER | ![]() |
Solactive | ![]() |
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ERTRÄGE | ![]() |
thesaurierend | ![]() |
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INDEXTYP | ![]() |
Benchmark-Index | ![]() |
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BENCHMARK | ![]() |
100% Solactive Euro Overnight Return Index | ![]() |
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FONDSVOLUMEN | ![]() |
733,71 Mio. EUR | ![]() |
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Indexbeschreibung The Solactive Euro Overnight Return Index is an index of Solactive AG and is calculated and distributed by Solactive AG. The Index is a rules-based Index engineered for to track a daily rolling cash position by accruing interest of the EONIA rate |
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Börsenplätze | |||||||||||||
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BÖRSENPLATZ | ![]() |
KURS DIFF. ABS. / REL. |
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VOLUMEN STÜCKE |
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GELD STÜCKE |
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BRIEF STÜCKE |
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Berlin |
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103,655
EUR
-0,001 EUR / -0,00% |
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0,00
EUR
0 Stk. |
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103,02 EUR
2.190 Stk. |
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104,28 EUR
2.190 Stk. |
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Stuttgart FXplus |
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103,659
EUR
0,010 EUR / 0,01% |
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0,00
EUR
0 Stk. |
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0,00 EUR
0 Stk. |
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0,00 EUR
0 Stk. |
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Düsseldorf |
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103,598
EUR
-0,038 EUR / -0,04% |
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0,00
EUR
0 Stk. |
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103,60 EUR
4.900 Stk. |
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103,72 EUR
4.900 Stk. |
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Frankfurt |
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103,649
EUR
-0,020 EUR / -0,02% |
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0,00
EUR
0 Stk. |
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103,65 EUR
193 Stk. |
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103,67 EUR
193 Stk. |
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Tradegate |
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103,659
EUR
0,014 EUR / 0,01% |
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180.340,80
EUR
1.740 Stk. |
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103,39 EUR
300 Stk. |
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103,93 EUR
300 Stk. |
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Xetra |
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103,659
EUR
0,019 EUR / 0,02% |
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2.119.463,81
EUR
20.446 Stk. |
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0,00 EUR
n.v. Stk. |
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0,00 EUR
n.v. Stk. |
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Hamburg |
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103,64
EUR
-0,01 EUR / -0,01% |
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0,00
EUR
0 Stk. |
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103,65 EUR
n.v. Stk. |
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103,67 EUR
n.v. Stk. |
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Hannover |
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103,15
EUR
-0,48 EUR / -0,46% |
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0,00
EUR
0 Stk. |
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103,65 EUR
n.v. Stk. |
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103,67 EUR
n.v. Stk. |
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Lang & Schwarz Exchange |
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103,389
EUR
0,009 EUR / 0,01% |
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n.v.
EUR
0 Stk. |
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103,39 EUR
125 Stk. |
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103,93 EUR
125 Stk. |
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München |
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103,651
EUR
0,000 EUR / 0,00% |
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0,00
EUR
0 Stk. |
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103,65 EUR
200 Stk. |
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103,67 EUR
200 Stk. |
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Euronext Paris |
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103,654
EUR
0,002 EUR / 0,00% |
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142.330,00
EUR
1.373 Stk. |
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0,00 EUR
110 Stk. |
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104,70 EUR
357 Stk. |
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Stuttgart |
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103,227
EUR
-0,001 EUR / -0,00% |
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0,00
EUR
0 Stk. |
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103,23 EUR
![]() 1.454 Stk. |
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104,08 EUR
![]() 1.442 Stk. |
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Kursstellung im Direkthandel (realtime) | |||||||||
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GELD / STÜCKE | ![]() |
BRIEF / STÜCKE | ![]() |
DATUM | ![]() |
UHRZEIT | ![]() |
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Lang & Schwarz
![]() | ![]() | 103,39 EUR 125 Stk. | ![]() | 103,93 EUR 125 Stk. |
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27.03.23 | ![]() |
08:38:14 | ![]() |
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Baader
![]() | ![]() | 103,65 EUR 1.255 Stk. | ![]() | 103,67 EUR 1.255 Stk. |
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27.03.23 | ![]() |
08:04:06 | ![]() |
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Kosten / Konditionen | ||||||||
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MANAGEMENTGEBÜHR P.A. | ![]() |
0,04% | ![]() |
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MINIMUMANLAGE | ![]() |
1 Stk. | ![]() |
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DEPOTBANKGEBÜHR P.A. | ![]() |
0,00% | ![]() |
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SPARPLAN | ![]() |
Ja | ![]() |
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TER P.A. | ![]() |
n.v. | ![]() |
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LETZTE AUSSCHÜTTUNG | ![]() |
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Anlagestrategie Das Anlageziel besteht darin, die Entwicklung des EuroMTS EONIA Investable Index nachzubilden. Der Index bildet die täglich rollierte Einlage zum EONIA-Satz (Euro Over Night Index Average) ab. Dieser beinhaltet den von der Europäischen Zentralbank festgestellten effektiven Tagesgeldsatz, welcher als gewichteter Durchschnitt aller unbesicherten Tagesgeldausleihungen im Interbankenmarkt berechnet wird. |
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Wertentwicklung in Fondswährung | ![]() |
Wertentwicklung monatlich Fonds / Sektor | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
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Wertentwicklung in EUR im Vergleich zum Sektor "Geldmarktfonds allgemein, Euroland, Euro" | ||||||||||||||||||
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1M | ![]() |
3M | ![]() |
6M | ![]() |
lfd. Jahr | ![]() |
1 Jahr | ![]() |
3 Jahre | ![]() |
5 Jahre | ![]() |
10 Jahre | ![]() |
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FONDS | ![]() |
+0,18% | ![]() |
+0,51% | ![]() |
+0,77% | ![]() |
+0,48% | ![]() |
+0,51% | ![]() |
-0,87% | ![]() |
-2,05% | ![]() |
-3,07% | ![]() |
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BESTER FONDS | ![]() |
+0,53% | ![]() |
+0,76% | ![]() |
+1,23% | ![]() |
n.v. | ![]() |
+3,86% | ![]() |
+7,80% | ![]() |
+22,90% | ![]() |
+2,82% | ![]() |
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SEKTOR-⌀ | ![]() |
+0,08% | ![]() |
+0,42% | ![]() |
+0,63% | ![]() |
+0,39% | ![]() |
-0,08% | ![]() |
-0,94% | ![]() |
-2,23% | ![]() |
-2,51% | ![]() |
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SCHLECHTESTER FONDS | ![]() |
-2,07% | ![]() |
-1,29% | ![]() |
-8,50% | ![]() |
n.v. | ![]() |
-3,78% | ![]() |
-5,66% | ![]() |
-8,98% | ![]() |
-13,90% | ![]() |
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Kennzahlen | Handelsdaten | |||||||
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VOLATILITÄT (1 JAHR) | ![]() |
0,32% | ![]() |
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PREIS VORTAG | ![]() |
103,23 EUR | ![]() |
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SHARP RATIO (1 JAHR) | ![]() |
-1,15 | ![]() |
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JAHRESHOCH SEIT 01.01. | ![]() |
103,67 EUR | ![]() |
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INFORMATION RATIO | ![]() |
0,15 | ![]() |
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JAHRESTIEF SEIT 01.01. | ![]() |
102,68 EUR | ![]() |
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TREYNOR RATIO | ![]() |
-0,73% | ![]() |
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12 MONATS-HOCH | ![]() |
103,67 EUR | ![]() |
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JENSEN´S ALPHA | ![]() |
-0,30% | ![]() |
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12 MONATS-TIEF | ![]() |
101,81 EUR | ![]() |
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BETAFAKTOR | ![]() |
0,50% | ![]() |
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3 JAHRES-HOCH | ![]() |
107,00 EUR | ![]() |
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GRÖßTER VERLUST (1 JAHR) | ![]() |
-0,71% | ![]() |
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3 JAHRES-TIEF | ![]() |
100,66 EUR | ![]() |
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LÄNGSTE VERLUSTPERIODE | ![]() |
94 Monate | ![]() |
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Besonderheiten | ||||||||
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Valuta Kauf | ![]() |
T+2 | ![]() |
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Valuta Verkauf | ![]() |
T+2 | ![]() |
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Fondsname vormals: LYXOR ETF EURO CASH | ![]() |
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