2059 |
16X Short Index linked to E-Mini Dow USD5 Future (Price Return)
|
+10,56 % |
2060 |
10X Long Index linked to Volkswagen AG V4 (Price Return)
|
+100,00 % |
2061 |
STOXX imp Pool 227 Index
|
-11,10 % |
2062 |
STOXX Global Copper Universe Index (Net Return)
|
-0,12 % |
2063 |
IndexSBI ESG Domestic AAA-BBB Index (Price Return)
|
+0,02 % |
2064 |
Cosmos One Capital Strategy 1 Index
|
-0,04 % |
2065 |
Azimut Fixed Income Strategy Index
|
-0,01 % |
2066 |
8X Short Index linked to The Walt Disney Company V3 (Price Return)
|
-43,09 % |
2067 |
8X Long Index linked to Merck KGaA V3 (Price Return)
|
-27,21 % |
2068 |
6X Short Index linked to TJX Cos Inc. (Price Return)
|
-0,58 % |
2069 |
5X Long Index linked to Lowes Companies Inc. (Price Return)
|
-1,97 % |
2070 |
5X Long Index linked to Fortinet Inc. (Price Return)
|
-1,78 % |
2071 |
4X Short Index linked to Occidental Petroleum Corporation (Price Return)
|
+5,97 % |
2072 |
4X Short Index linked to Lowes Companies Inc. (Price Return)
|
+1,58 % |
2073 |
4X Long Index linked to Lowes Companies Inc. (Price Return)
|
-1,57 % |
2074 |
3X Short Index linked to Fortinet Inc. (Price Return)
|
+1,09 % |
2075 |
3X Long Index linked to Air Products and Chemicals Inc. (Price Return)
|
+1,07 % |
2076 |
2X Short Index linked to Wheat Soft Red Future V2 (Price Return)
|
-2,07 % |
2077 |
1X Long Index linked to Nestle SA (Price Return)
|
-1,40 % |
2078 |
1X Long Index linked to DexCom Inc. (Price Return)
|
+2,73 % |
2079 |
10X Short Index ld to Daimler Truck Holding AG V2 (Price Return)
|
-9,65 % |
2080 |
Woodman Tactical Allocation EUR Index
|
+0,43 % |
2081 |
Syz High Quality Credit 2030 Index
|
+0,17 % |
2082 |
STOXX Global Copper and Metals Mining Index (Gross Return)
|
-0,28 % |
2083 |
STOXX ASEAN Index (Price Return)
|
+0,47 % |
2084 |
iSTOXX Single Stock on STMicroelectronics GR DEC 0.23 Index (Price Return)
|
-3,90 % |
2085 |
8X Long Index linked to Barrick Gold Corp. V3 (Price Return)
|
-12,35 % |
2086 |
6X Long Index linked to Teva Pharmaceutical Industries Ltd. (Price Return)
|
-10,85 % |
2087 |
6X Long Index linked to Pfizer Inc. (Price Return)
|
-27,67 % |
2088 |
6X Long Index linked to Meta Platforms Inc. V2 (Price Return)
|
-22,88 % |
2089 |
5X Short Index linked to Veeva Systems Inc. (Price Return)
|
+31,88 % |
2090 |
5X Short Index linked to United Parcel Service Inc. (Price Return)
|
-4,44 % |
2091 |
5X Short Index linked to Tesla Inc. V11 (Price Return)
|
-50,00 % |
2092 |
5X Short Index linked to BioNTech SE V2
|
+23,42 % |
2093 |
5X Long Index linked to ASML Holding NV V4
|
-24,70 % |
2094 |
4X Short Index linked to Rivian Automotive Inc. (Price Return)
|
+13,71 % |
2095 |
4X Short Index linked to Compagnie Financiere Richemont SA V2 (Price Return)
|
+1,21 % |
2096 |
3X Long Index linked to Intesa Sanpaolo SpA V2 (Price Return)
|
+0,75 % |
2097 |
2X Long Index linked to Zoetis Inc (Price Return)
|
+0,27 % |
2098 |
2X Long Index linked to United Parcel Service Inc. (Price Return)
|
+1,79 % |
2099 |
2X Long Index linked to Johnson & Johnson (Price Return)
|
+3,07 % |
2100 |
2X Long Index linked to Coupang Inc. (Price Return)
|
-8,33 % |