Lyxor ETF PRIVEX


ISIN: FR0010407197
 
Bloomberg: NAV: 7.50 EUR +0.400%
Termsheet: Lyxor Int. Asset Management
 
Management Fee: 1.00%
 
Currency: EUR
Asset Class: Shares
Replication: synthetic
 
52-Week Range: 5.0400 - 7.1300
 
Performance:
YTD 1M 3M 1Y 3Y 5Y
N/A 2.84% 8.02% N/A 29.68% 16.15%