AMUNDI FTSE MIB UCITS ETF (C)  FR0010010827

ReturnsAnnu. ReturnsVolatilities
1 week+1.7--
4 weeks+6.2--
52 weeks+30.5+30.7+13.7
1 mon.+7.3--
3 mon.+13.9--
6 mon.+16.7--
1 yr+30.1+30.1+13.7
3 yrs+43.9+12.9+17.7
5 yrs+61.9+10.1+23
10 yrs+60.1+4.8+21.4
Max+78.2+5.8+21.3
YearJanFebMarAprMaiJunJulAugSepOctNovDec
2024+13.6+1.7+5.9+5.5---------
2023+28.9+12.7+3.3-1.2+1.1-2.5+8.6+5.4-2.8-1.9-1.8+8-1.7
2022-13.6-1.6-5.2-1.6-2.2+2.5-12.9+2.2-3.8-4.1+9.7+9.3-4.6
2021+24-2.7+5.9+7.8-1.9+5.1-0.1+0.5+2.5-1+5.2-3.4+4.6
2020-5.4-0.8-5.4-22.4+3.8+3.6+6.7-2.5+2.8-3.1-5.7+23+0.4
2019+27.6+8+4.7+3+3.3-8+7.5-2.2-0.4+4+2.7+2.7+0.4
2018-16.8+7.8-3.8-0.8+7.3-7.9-0.6+0.2-8.8+2.4-8+0.9-5.2
2017+13.4-3.2+1.7+8.4+1+1.9-0.6+2.3+0.9+5+0.4-1.7-2.8
2016-11.1-12.9-5.6+2.8+3-5.1+0.5-6.2+0.6-2.9+4.4-0.9+12.9
2015+11.4+8.3+8.5+3.7-0.4+3.3-4.1+2.1-6.8-2.7+5.4+1.4-6.2
2014-+2.3+5.3+6.1+0.5+0.5-1.3-5.1-0.6+2.5-5.3+1.3-5.5
Net inflows / Market effect
Asset Under Management on 21/03/202402/2024T4/2023S2/20232023YTD
Fund422.1 M€+26.8 / +22.6-9.7 / +15.7-65.6 / +16.1-141.8 / +98.4+22.2 / +50.8
FR0010010827418.1 M€+26.5 / +22.4-5.5 / +15-60.4 / +15.2-145 / +96.5+25.5 / +50.4
FR0014002H764 M€+0.3 / +0.2-4.2 / +0.8-5.2 / +0.9+3.2 / +1.9-3.3 / +0.4

Details

SRI
1234567
CurrencyEUR
Holding perdiod5 years
SFDR-
NAV FrequencyDaily
Investor: Types
  • Retail
  • Professional
  • Counterparty
Investor: Knowledges
  • Basic
  • Informed
  • Advanced
  • Expert
Investor: Objectives
  • Preservation
  • Growth
  • Income
  • Leveraged
  • 5 years
  • ISR

Fees

Entry Fees0%
Exit Fees0%
Management fees0.35000000000000003%
Transaction Costs0.038%
Perf. Fees0%

Actors

Management companyAmundi Asset Management
LEI of the management company-

Other Shares/Classes