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OFFON

AMUNDI PRIME EUROPE - UCITS ETF - EUR

(PR1E)
Delayed Quote. Delayed Xetra - 01/26 07:12:28 am
26.115 EUR   +2.19%
 SummaryQuotesChartsComponents 
Quotes 5-day view   Delayed Quote. Delayed Xetra
01/20/2022 01/21/2022 01/24/2022 01/25/2022 01/26/2022 Date
26.91(c) 26.405(c) 25.35(c) 25.555(c) 26.115 Last
+0.49% -1.88% -4.00% +0.81% +2.19% Change
185 145 3 405 1 854 0 Volume
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Investment objective
To track the performance of Solactive GBS Developed Markets Europe Large & Mid Cap EUR Index (the 'Index'), and to minimize the tracking error between the net asset value of the sub-fund and the performance of the Index.
Ratings of AMUNDI PRIME EUROPE - UCITS ETF - EUR
Trading Rating : 
Investor Rating : 
ESG Refinitiv : 
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Composition of AMUNDI PRIME EUROPE - - EUR
 CompanyPriceChange1st Jan Change Capi. (M$)Poids  
SwitzerlandNESTLÉ S.A. 118.99 Real-time Estimate Quote.1.08%-7.63%352 2913.36%
SwitzerlandROCHE HOLDING AG 350.325 Real-time Estimate Quote.1.19%-8.68%304 7452.52%
NetherlandsASML HOLDING N.V. 590.6 Real-time Quote.2.62%-18.57%263 8762.34%
SwitzerlandNOVARTIS AG 78.425 Real-time Estimate Quote.1.56%-3.81%187 9582.19%
FranceLVMH MOËT HENNESSY LOUI.. 686.8 Real-time Quote.2.97%-8.25%379 0471.64%
UnitedUNILEVER PLC 3861 Real-time Estimate Quote.-1.91%-0.24%135 9511.48%
UnitedASTRAZENECA PLC 8517 Real-time Estimate Quote.0.69%-2.52%176 8101.34%
GermanySAP SE 118.21 Real-time Estimate Quote.1.36%-6.63%155 1751.34%
GermanySIEMENS AG 142.62 Real-time Estimate Quote.2.96%-9.27%125 2871.29%
DenmarkNOVO NORDISK A/S 624.2 Real-time Estimate Quote.-0.16%-14.94%215 7771.18%
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Chart AMUNDI PRIME EUROPE - UCITS ETF - EUR
Duration : Period :
AMUNDI PRIME EUROPE - UCITS ETF - EUR Technical Analysis Chart | PR1E | LU1931974262 | MarketScreener
Investment themes
Asset Classes Equities
Geographical Zones Europe
Size Large & Mid Cap
Weighting Schemes Market Cap Weighted
Description
Index ETF Solactive GBS Developed Markets Europe Large & Mid Cap EUR Index TR - EUR
Currency EUR
Management fees 0.05%
AuM (2021-12-07) 13.03 M EUR
Provider Amundi
Features and characteristics
Jurisdiction Luxembourg
Structure SICAV
Date of creation 2019-01-30
Dividend Policy Distribution
Replication Method Direct (Physical)
Replication Model Full Replication
AuM evolution (2021-12-07)
Last one 13.03 M EUR
1-month 13.66 M EUR
3 months 13.51 M EUR
6 months 12.8 M EUR
1-year 9.96 M EUR