1807 |
6X Long Index linked to AT&T Inc. (Price Return)
|
+12,15 % |
1808 |
5X Short Index linked to Verizon Communications Inc. (Price Return)
|
-9,27 % |
1809 |
5X Long Index linked to Verizon Communications Inc. (Price Return)
|
+9,20 % |
1810 |
4X Short Index linked to AT&T Inc. (Price Return)
|
-7,99 % |
1811 |
4X Short Index ld to Super Micro Computer Inc V2 (Price Return)
|
-0,97 % |
1812 |
3X Short Index l. to International Business Machines Corp. V3 (Price Return)
|
+5,45 % |
1813 |
3X Long Index linked to Estee Lauder Companies Inc. V2 (Price Return)
|
-2,19 % |
1814 |
2X Short Index linked to Oracle Corp. (Price Return)
|
+4,05 % |
1815 |
Vontobel Green Technology Strategy Index
|
+0,37 % |
1816 |
STX Europe 600 Oil&Gas Fut Ro.Index (EUR) (Excess Return)
|
+0,97 % |
1817 |
iSTOXX Single Stock on Sanofi GR Decrement 3.22
|
-3,28 % |
1818 |
Generation Alfa Energy Bonds Index
|
-0,08 % |
1819 |
Forum Capital Europa Growth Basket Index
|
+1,79 % |
1820 |
6X Long Index linked to The Walt Disney Company V3 (Price Return)
|
+33,50 % |
1821 |
4X Short Index linked to The Swatch Group AG V6 (Price Return)
|
-9,76 % |
1822 |
1X Short Index linked to Cadence Design Systems Inc. (Price Return)
|
+4,68 % |
1823 |
iSTX.Inve.Leveraged -3X NVDA Index (USD) (Net Return)
|
+9,82 % |
1824 |
Clarity Diversified Fixed Income Flexible Strategy Index
|
-0,06 % |
1825 |
6X Short Index linked to Deutsche Post AG V2 (Price Return)
|
-4,34 % |
1826 |
5X Long linked to STMicroelectronics NV Index (Price Return)
|
-13,49 % |
1827 |
5X Long Index linked to E-Mini Dow USD5 Future (Price Return)
|
-3,28 % |
1828 |
4X Long Index linked to Verizon Communications Inc. (Price Return)
|
+7,37 % |
1829 |
4X Long Index linked to Orsted A/S (Price Return)
|
+12,07 % |
1830 |
3X Long Index linked to Oracle Corp. (Price Return)
|
-6,07 % |
1831 |
2X Short linked to ArcelorMittal S.A. V2 Index
|
-6,22 % |
1832 |
2X Long Index linked to AT&T Inc. (Price Return)
|
+4,04 % |
1833 |
12X Short linked to Dow Jones Industrial Average V9 Index
|
+7,69 % |
1834 |
STOXX ASEAN Index (Gross Return)
|
+0,47 % |
1835 |
iSTOXX Single Stock on Volkswagen GR Decrement 8.76 Index (Price Return)
|
+0,77 % |
1836 |
iSTOXX Inverse Lever. -3X AIR Index (EUR) (Net Return)
|
+1,94 % |
1837 |
8X Short Index linked to E-Mini Dow USD5 Future (Price Return)
|
+5,26 % |
1838 |
8X Lg Ix linked to Costco Wholesale Corp. V2 (Price Return)
|
-12,34 % |
1839 |
6X Long Index linked to Mercedes-Benz Group AG V4 (Price Return)
|
+7,80 % |
1840 |
5X Short Index l. to International Business Machines Corp. V4 (Price Return)
|
+9,08 % |
1841 |
4X Short Index linked to Holcim Ltd V2 (Price Return)
|
+2,68 % |
1842 |
4X Long Index linked to Oracle Corp. (Price Return)
|
-8,36 % |
1843 |
3X Short Index linked to AXA SA V3 (Price Return)
|
-2,37 % |
1844 |
2X Long Index linked to Walgreens Boots Alliance Inc. (Price Return)
|
-5,01 % |
1845 |
2X Long Index linked to Leonardo S.p.a. (Price Return)
|
-3,97 % |
1846 |
10X Short Index linked to E-Mini Dow USD5 Future (Price Return)
|
+6,60 % |
1847 |
X Credit Opportunities Index
|
+0,15 % |
1848 |
STX Europe 600 Oil&Gas Fut Ro.Index (EUR) (Total Return)
|
+0,98 % |