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MarketScreener Homepage  >  ETF  >  Swiss Exchange  >  Lyxor MSCI USA(LUX)UE    CBUSA   LU0392495700

LYXOR MSCI USA(LUX)UE

(CBUSA)
Delayed Quote. Delayed Swiss Exchange - 01/22 11:35:13 am
92.88 CHF   +1.08%
 SummaryQuotesChartsStatisticsComponents 
Quotes 5-day view   Delayed Quote. Delayed Swiss Exchange
12/11/2020 12/18/2020 01/05/2021 01/15/2021 01/22/2021 Date
87.98(c) 89.76(c) 88.94(c) 91.89(c) 92.88(c) Last
-1.47% +2.02% -0.91% +3.32% +1.08% Change
13 1 332 10 12 50 Volume
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Chart LYXOR MSCI USA(LUX)UE
Duration : Period :
Lyxor MSCI USA(LUX)UE Technical Analysis Chart | CBUSA | LU0392495700 | MarketScreener
Full-screen chart
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Rating TrackInsight  TrackInsightTM ETF Ratings – Methodology
Investment objective
The investment objective of the ComStage MSCI USA TRN UCITS ETF is to provide investors with a return that tracks the performance of the MSCI Total Return Net USA Index. The Index is weighted on the basis of free float-adjusted market capitalisation and tracks the performance of the stock market in the United States based on their total return with reinvested net dividends. The net dividends reinvested in the Index correspond to the respective gross dividends less a fictitious withholding tax. Currently, the maximum withholding tax rate is applied in that regard, which applies to foreign-domiciled investors that do not benefit from a double-taxation treaty.
Investment themes
Asset Classes Equities
Geographical Zones United_States
Size Large & Mid Cap
Development Developed
Weighting Schemes Market Cap Weighted
Description
Index ETF MSCI USA Net Total Return Index - USD
Related indices
- MSCI USA 100% hedged to JPY (Net Return) - JPY
- MSCI USA 100% hedged to CHF Total Return Net Index - CHF
- MSCI USA 100% hedged to EUR Net Total Return Index - EUR
- MSCI USA 100% Hedged to GBP Net Total Return Index - GBP
- MSCI USA Gross Total Return Index - USD
- MSCI Daily Net Total Return USA Index - EUR
- MSCI USA Index - USD
- MSCI Daily Total Return Net USA Local Index - USD
Currency USD
Management fees 0.1%
AuM (2020-11-07) 31.9 M USD
Provider Lyxor
Features and characteristics
Jurisdiction Luxembourg
Structure SICAV
Date of creation 2008-12-03
Dividend Policy Distribution
Replication Method Indirect (Synthetic)
Replication Model Unfunded Swap
AuM evolution (2020-11-07)
Last one 31.9 M USD
1-month 34.79 M USD
3 months 33.93 M USD
6 months 49.13 M USD
1-year 49.8 M USD