337 |
4X Long Index linked to Bristol-Myers Squibb Co. (Price Return)
|
-4,32 % |
338 |
3X Short Index linked to Nasdaq-100 Index V2
|
+0,46 % |
339 |
3X Short Index linked to Microsoft Corp. V4
|
-1,29 % |
340 |
3X Short Index linked to Airbus SE V3 (Price Return)
|
+4,43 % |
341 |
2X Long Index linked to Copper Future V2 (Price)
|
-3,78 % |
342 |
8X Long linked to The Procter & Gamble Company Index (Price Return)
|
+3,09 % |
343 |
3X Short Index linked to Advanced Micro Devices Inc. V3 (Price Return)
|
+8,70 % |
344 |
3X Short Index linked to Vonovia SE V2
|
+6,91 % |
345 |
5X Short linked to The Procter & Gamble Company Index (Price Return)
|
-2,04 % |
346 |
3X Long Index linked to EURO STOXX Banks Index (Price)
|
-0,71 % |
347 |
2X Short Index linked to Adyen N.V. (Price Return)
|
-1,17 % |
348 |
STOXX Europe 600 Optimised Food Beverage and Tobacco Index (Price Return)
|
-0,50 % |
349 |
4X Short Index linked to HeidelbergCement AG V2 (Price Return)
|
-1,12 % |
350 |
4X Long Index linked to Cotton Future (Price)
|
-0,67 % |
351 |
6X Long Index linked to Cocoa Future V2
|
+17,83 % |
352 |
4X Short Index linked to Bayerische Motoren Werke AG V2 (Price Return)
|
+8,69 % |
353 |
iSTOXX Single Stock on Mercedes-Benz Group GR DEC 3.8 Index (Price Return)
|
-1,20 % |
354 |
3X Short Index linked to Neste Oyi V3 (Price Return)
|
-9,57 % |
355 |
3X Long linked to The Procter & Gamble Company Index (Price Return)
|
+1,24 % |
356 |
6X Short Index linked to RWE AG V2 (Price Return)
|
-9,90 % |
357 |
2X Long linked to BioNTech SE Index (Price Return)
|
+9,89 % |
358 |
6X Long linked to Deutsche Bank AG V3 Index (Price Return)
|
-10,22 % |
359 |
5X Long Index linked to Fiat Chrysler Automobiles N.V. V2 (Price Return)
|
-2,85 % |
360 |
4X Long Index linked to Straumann Holding AG (Price Return)
|
-3,67 % |
361 |
2X Long Index linked to Broadcom Inc.
|
-2,94 % |
362 |
6X Long Index linked to Brent Crude Oil Future V3 (Price Return)
|
+1,72 % |
363 |
6X Long Index linked to Berkshire Hathaway Inc. (Price Return)
|
+1,88 % |
364 |
4X Long Index linked to Royal Dutch Shell PLC (Price Return)
|
+0,50 % |
365 |
2X Short linked to BioNTech SE Index (Price Return)
|
-9,83 % |
366 |
10X Long Index linked to Muenchener Rueckversicher AG V2 (Price Return)
|
+1,89 % |
367 |
STOXX Nordic USD (Net Return)
|
-0,41 % |
368 |
5X Long Index linked to Covestro AG V2 (Price Return)
|
+0,82 % |
369 |
4X Short Index linked to Bayer AG V2 (Price Return)
|
+16,68 % |
370 |
4X Long Index linked to BNP Paribas V2 (Price Return)
|
-3,92 % |
371 |
2X Short Index linked to Infineon Technologies AG V2 (Price Return)
|
+8,37 % |
372 |
10X Long Index linked to Nikkei 225 Index V5 (Price Return)
|
-8,94 % |
373 |
CDAX Index
|
-0,15 % |
374 |
2X Short Index linked to Siemens Healthineers AG
|
+2,68 % |
375 |
1X Long linked to WTI Light Sweet Crude Oil Future Index (Price Return)
|
+0,08 % |
376 |
STOXX Global Low Risk Weighted Diversified Index (Price Return)
|
+0,01 % |
377 |
STOXX Global Low Risk Weighted Diversified Index (Gross Return)
|
+0,08 % |
378 |
iSTOXX Top Citywire Fund Managers AR Index (Price Return)
|
+0,21 % |