ETFs
AETF
Last Traded Price
Previous Close
Snapshot
Last Traded Price | ||
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Change | ||
Total Volume | ||
Daily High Price | ||
Daily Low Price |
ETF Overview
Symbol | |
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ISIN | |
Reuters Code | |
Bloomberg Code | |
Country of Register | |
MiFID Status | |
Admission To Trading | |
Listing Type | |
Initial Price Of Listing | 0.00 |
iNAV Symbol | |
iNAV ISIN | |
iNAV Reuters Code | |
iNAV Bloomberg Code | |
Underlying Asset | |
Custodian | |
ETF Type | |
Investment Objective | |
Management & Custody Fee | |
Units First Issue | |
Initial NAV Per Unit | 0.00 |
Creation / Redemption Unit | 0.00 |
Max Number of Units (that can be issued) | |
Unit Ιnitial / Issue Price | |
Unit Creation / Redem. Types | |
Maximum Bid / Ask Spread | |
Minimum Bid & Ask Value | |
Reference Symbols |
Trading Information
Trading System | OASIS (Integrated Automatic Electronic Trading System) |
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Stock Exchange | ATHENS STOCK EXCHANGE (2008.01.24) |
Market | SECURITIES MARKET (2008.01.24) |
Market Segment | EXCHANGE TRADED FUNDS |
Trading Unit | 1 |
Currency | EUR |
Currency of NAV Valuation | EUR |
Trading Status | Active |
Last Trading Date / Closing | 2025.03.11 / 39.9200 |
Key Statistics
52 Week Price Range | 0.00 |
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Year High | 0.00 |
Year High Date | |
Year Low | 0.00 |
Year Low Date | |
Year Change % | 0.00 % |
3 Month Change % | 0.00 % |
Month Change % | 0.00 % |
Week Change % | 0.00 % |
Daily Change % | 0.00 % |