ETF Quickrank

 NameMorningstar® CategoryMorningstar
Rating™
YTD
Return
%
Ongoing ChargeLast
Close
 abrdn Global Real Estate Active Thematics UCITS ETF USD Accumulating GBPProperty - Indirect GlobalNot Rated-5.57-772.00GBX
 abrdn Physical Gold Shares ETF USDCommodities FocusedNot Rated14.52-22.19USD
 Alerian Midstream Energy Dividend UCITS ETFSector Equity Energy12.310.4013.69USD
 Alerian Midstream Energy Dividend UCITS ETF GBPSector Equity Energy12.170.401,099.60GBX
 Amundi Australia (S&P/ASX 200) UCITS ETF - D-EUR USDAustralia & New Zealand Equity0.310.4051.52USD
 Amundi Bloomberg Equal-weight Commodity ex-Agriculture UCITS ETF Acc GBPCommodities - Broad BasketNot Rated10.200.002,011.75GBX
 Amundi Bloomberg Equal-weight Commodity ex-Agriculture UCITS ETF Acc USDCommodities - Broad BasketNot Rated10.300.0025.03USD
 Amundi CAC 40 UCITS ETF Dist GBPFrance Equity7.320.256,899.00GBX
 Amundi Corporate Green Bond UCITS ETF Acc USDGlobal Corporate BondNot Rated-0.270.089.90USD
 Amundi DAX III UCITS ETF Acc GBPGermany Equity7.380.1514,392.00GBX
 Amundi ETF DAX UCITS ETF DR GBPGermany Equity7.380.1027,927.50GBX
 Amundi ETF MSCI Europe Banks UCITS ETF GBPSector Equity Financial Services17.610.2510,675.00GBX
 Amundi ETF MSCI Europe Healthcare UCITS ETF GBPSector Equity Healthcare7.080.2534,310.00GBX
 Amundi EUR Corporate Bond PAB Net Zero Ambition UCITS ETF Acc GBPEUR Corporate Bond-1.550.1412,387.00GBX
 Amundi EUR High Yield Corporate Bond ESG UCITS ETF DisEUR High Yield BondNot Rated0.33-101.98EUR
 Amundi EUR Overnight Return UCITS ETF Acc USDMoney Market - OtherNot Rated0.280.10115.33USD
 Amundi Euro Government Bond II UCITS ETF Acc GBPEUR Government Bond-2.370.1414,123.00GBX
 Amundi Euro Government Green Bond UCITS ETF Acc GBXEUR Government BondNot Rated--6.34GBX
 Amundi Euro Government Inflation-Linked Bond UCITS ETF Acc GBPEUR Inflation-Linked Bond-1.570.1514,087.50GBX
 Amundi Euro Inflation Expectations 2-10Y UCITS ETF Acc GBPRelative Value ArbitrageNot Rated0.610.259,874.50GBX
Total Results: 3518
1-20 of 3518First | Previous | Next | Last
Fund prices are updated every weekday after the close of trading and before 11 p.m. wherever possible. Performance figures are presented in British Pounds (GBP). Fund returns are based upon Nav to Nav or Bid to Bid income reinvested basis. UK-domiciled funds report after-tax dividends. Non-UK-domiciled funds report gross dividends.
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