10123 |
3X Short Index linked to Allianz SE V3 (Price Return)
|
+0,45 % |
10124 |
STOXX Norway Index (Gross Return)
|
+1,77 % |
10125 |
STOXX Mexico Large Cap Index (Price Return)
|
-0,69 % |
10126 |
STOXX Malaysia Small Cap Index (Net Return)
|
-0,27 % |
10127 |
STOXX Malaysia Large Cap Index (Price Return)
|
+0,24 % |
10128 |
STOXX Latin America Large Cap Index (Net Return)
|
-0,01 % |
10129 |
STOXX Latin America Large Cap Index (Net Return)
|
+0,12 % |
10130 |
STOXX Korea Small Cap Index (Gross Return)
|
+0,56 % |
10131 |
STOXX Korea Large Cap Index (Net Return)
|
+2,38 % |
10132 |
STOXX Italy Mid Cap Index (Price Return)
|
+0,65 % |
10133 |
STOXX Indonesia All Cap Index (Gross Return)
|
-0,50 % |
10134 |
STOXX India Large Cap Index (Price Return)
|
+0,12 % |
10135 |
STOXX Global DR Index (Price Return)
|
+0,31 % |
10136 |
STOXX Europe 600 Industry Neutral Ax Low Risk Index (Price Return)
|
+0,29 % |
10137 |
STOXX Emerging Markets Telecommunications Index (Net Return)
|
+4,23 % |
10138 |
STOXX Emerging Markets Real Estate Index (Net Return)
|
+0,33 % |
10139 |
STOXX Developed Europe ex UK Mid Cap Index (Price Return)
|
+0,72 % |
10140 |
STOXX Asia AC All Cap Index (Gross Return)
|
+0,65 % |
10141 |
STOXX ASEAN Mid Cap Index (Price Return)
|
+0,19 % |
10142 |
SPI Level 2 Automotive CHF Index (Gross Return)
|
+0,50 % |
10143 |
SPI Level 1 Utilities CHF Index (Net Return)
|
+2,53 % |
10144 |
SPI Level 1 Technology for information and communic CHF Index (Net Return)
|
+1,64 % |
10145 |
SGI Spain Selection Index (Gross Return)
|
+1,40 % |
10146 |
MSM Alpha Opportunities Index
|
-0,44 % |
10147 |
MSCI World ESG Leaders Index (Indicative Net Asset Values)
|
-0,05 % |
10148 |
MSCI USA Index (Indicative Net Asset Values)
|
-0,29 % |
10149 |
Monrey Treasury ST Index
|
+0,03 % |
10150 |
MDAX 10% Capped Index (Price Return)
|
+0,89 % |
10151 |
MDAX 10% Capped Index (Net Return)
|
+0,89 % |
10152 |
LMC Global Growth Index
|
+0,13 % |
10153 |
LMC Global Growth EUR Index
|
+0,28 % |
10154 |
iSTX L&G Developed Asia Pacific ex Japan Low Volatility Index (Price Return)
|
+0,12 % |
10155 |
iSTX L&G Developed Asia Pacific ex Japan Low Volatility Index (Net Return)
|
+0,20 % |
10156 |
iSTX L&G Developed Asia Pacific ex Japan Low Volatility Index (Gross Return)
|
+0,08 % |
10157 |
iSTX L&G Developed Asia Pacific ex Japan Low Volatility Index (Gross Return)
|
+0,21 % |
10158 |
iSTOXX REP GR Decrement 0.58 Index
|
+1,60 % |
10159 |
iSTOXX L&G Emerging Markets Momentum Index (Price Return)
|
-0,70 % |
10160 |
iSTOXX L&G Developed Asia Pacific ex Japan Multi-Factor Index (Gross Return)
|
+0,19 % |
10161 |
iSTOXX L&G Dev World MV Index (Net Return)
|
-0,10 % |
10162 |
iSTOXX L&G Dev World MV Index (Gross Return)
|
-0,10 % |
10163 |
iSTOXX APG World Multi-Factor -A Index (Price Return)
|
-0,24 % |
10164 |
iSTOXX ABP Developed Markets Equity Index (Price Return)
|
-0,29 % |