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MarketScreener Homepage  >  ETF  >  Swiss Exchange  >  Lyxor Bund Future Daily(-2x)Inverse UE    CBBFDS   LU0530124006

LYXOR BUND FUTURE DAILY(-2X)INVERSE UE

(CBBFDS)
Delayed Quote. Delayed Swiss Exchange - 01/15 11:35:01 am
27.505 CHF   -0.02%
 SummaryQuotesChartsStatisticsComponents 
Quotes 5-day view   Delayed Quote. Delayed Swiss Exchange
01/05/2021 01/07/2021 01/11/2021 01/12/2021 01/15/2021 Date
27.455(c) 27.775(c) 27.725(c) 28.055(c) 27.505(c) Last
-1.31% +1.17% -0.18% +1.19% -1.96% Change
3 006 300 4 500 36 4 000 Volume
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Chart LYXOR BUND FUTURE DAILY(-2X)INVERSE UE
Duration : Period :
Lyxor Bund Future Daily(-2x)Inverse UE Technical Analysis Chart | CBBFDS | LU0530124006 | MarketScreener
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Rating TrackInsight  TrackInsightTM ETF Ratings – Methodology
NOT YET RATED
Investment objective
The ComStage Bund-Future Double Short UCITS ETF is a UCITS compliant exchange traded fund that aims to track the benchmark index Solactive Bund Daily (-2x) Inverse Index. The Solactive Bund Daily (-2x) Inverse Index is a strategy linked to the performance of the Euro-Bund future. The strategy reflects the performance of an daily investment with a double short position in the Euro-Bund future plus interest, based on the EONIA rate, on any capital that is not tied up. It works as follows: the strategy will rise if interest rates for 10-year bonds rise, and the strategy will fall if interest rates for 10-year bonds fall. The strategy generates approximately double the inverse performance of the Bund future on a daily basis. Please note that for holding periods of more than one day, the performance of the short index does not match the double inverse performance of the base index due to the daily calculation basis. The starting level of the index was set at 100 index points on 4 January 2010.
Investment themes
Asset Classes Alternative
Geographical Zones Germany
Bond Types Government
Credit Ratings Investment Grade
Description
Index ETF Solactive Bund Daily (-2x) Inverse Index - EUR
Currency EUR
Management fees 0.2%
AuM (2020-11-07) 30.38 M EUR
Provider Lyxor
Features and characteristics
Jurisdiction Luxembourg
Structure SICAV
Date of creation 2010-10-07
Dividend Policy Capitalization
Replication Method Indirect (Synthetic)
Replication Model Fully Funded Swap
AuM evolution (2020-11-07)
Last one 30.38 M EUR
1-month 30.98 M EUR
3 months 33.61 M EUR
6 months 33.75 M EUR
1-year 42.12 M EUR