295 |
5X Long linked to Electronic Arts Inc. Index (Price Return)
|
+4,19 % |
296 |
5X Long Index linked to Siemens Healthineers AG (Price)
|
-4,82 % |
297 |
5X Long Index linked to HeidelbergCement AG V2 (Price Return)
|
-0,66 % |
298 |
4X Short linked to UnitedHealth Group Inc. Index (Price Return)
|
+2,05 % |
299 |
3X Short Index linked to Deutsche Boerse AG V3 (Price)
|
-1,96 % |
300 |
4X Long Index linked to Danske Bank A/S (Price)
|
-4,72 % |
301 |
6X Long Index linked to Deutsche Boerse AG V2 (Price)
|
+3,88 % |
302 |
5X Long Index linked to Vodafone Group PLC V2 (Price Return)
|
-0,82 % |
303 |
4X Short Index linked to Siemens Healthineers AG (Price)
|
+3,64 % |
304 |
4X Short Index linked to Adyen N.V. (Price Return)
|
-20,00 % |
305 |
4X Short Index linked to Deutsche Bank AG V2 (Price Return)
|
-2,22 % |
306 |
3X Short Index linked to ASML Holding NV (Price)
|
-8,47 % |
307 |
iSTOXX Top Citywire Fund Managers Fixed Weights BE Index (Price Return)
|
+0,04 % |
308 |
8X Short linked to The Procter & Gamble Company Index (Price Return)
|
-8,33 % |
309 |
Brenntag Peer Group TSR 2022-2025 Index
|
+0,08 % |
310 |
Blue Horizon New Energy Economy 100 Index (Total Return)
|
-0,06 % |
311 |
2X Long Index linked to Credit Suisse Group AG V2
|
-0,24 % |
312 |
5X Short Index link to LVMH Moet Hennessy Louis Vuitton SEV6 (Price Return)
|
+6,37 % |
313 |
6X Long linked to UnitedHealth Group Inc. Index (Price Return)
|
-3,67 % |
314 |
4X Short Index linked to Straumann Holding AG (Price Return)
|
+6,00 % |
315 |
4X Long Index linked to ING Groep N.V. V2 (Price Return)
|
-0,61 % |
316 |
8X Long Index linked to BASF SE V2 (Price Return)
|
-10,71 % |
317 |
3X Short Index linked to Bund Future V3 (Price)
|
-0,91 % |
318 |
3X Long linked to UnitedHealth Group Inc. Index (Price Return)
|
-1,84 % |
319 |
2X Long Index linked to Wacker Chemie AG (Price)
|
-1,95 % |
320 |
2X Long Index linked to Bristol-Myers Squibb Co. (Price Return)
|
+1,23 % |
321 |
8X Long Index linked to Platinum (Troy Ounce) V3 (Price Return)
|
+2,78 % |
322 |
5X Long Index linked to Novozymes A/S V3 (Price)
|
+6,34 % |
323 |
5X Long Index linked to Danske Bank A/S V4 (Price)
|
-5,85 % |
324 |
5X Long Index linked to Bristol-Myers Squibb Co. (Price Return)
|
+2,96 % |
325 |
4X Long Index linked to HeidelbergCement AG V2 (Price Return)
|
-0,53 % |
326 |
4X Long Index linked to Bayerische Motoren Werke AG V2 (Price Return)
|
-5,99 % |
327 |
2X Short linked to UnitedHealth Group Inc. Index (Price Return)
|
+1,08 % |
328 |
STOXX ESG la Global ex Eurozone PAB Index (Net Return)
|
+0,40 % |
329 |
4X Short Index linked to Bristol-Myers Squibb Co. (Price Return)
|
-2,37 % |
330 |
2X Long linked to UnitedHealth Group Inc. Index (Price Return)
|
-1,22 % |
331 |
2X Long Index linked to The Walt Disney Company (Price Return)
|
+0,85 % |
332 |
8X Long Index linked to Home Depot Inc. (Price Return)
|
+20,93 % |
333 |
5X Long linked to A.P. Moller Maersk A/S Index (Price Return)
|
-17,35 % |
334 |
4X Long Index linked to BP PLC V2 (Price Return)
|
+6,17 % |
335 |
3X Short Index linked to PayPal Holdings Inc. V2 (Price Return)
|
-0,42 % |
336 |
16X Long Index linked to Gold (Troy Ounce) (Price)
|
+11,11 % |