D
DZ BANK Eurozone Staatsanleihen 1-3 Jahre UCITS ETF
Ordredybde
Generell informasjon
- Total prisIngen data
- Aktiva klasseRente
- KategoriRente, EUR Statsobligasjoner - korte
- Basis-valutaEUR
- UtbyttepolicyAkkumulert
- Nøkkelinformasjon
The investment objective of the Fund is to track the price and the performance, before fees and expenses, of an index that provides exposure to a portfolio of bonds issued by governments in the Eurozone with a remaining time to maturity of at least one year and up to and including three years. In order to seek to achieve its investment objective, the Fund will adopt a "passive management" investment strategy and will seek to employ a tracking methodology, meaning as far as possible and practicable, it will invest in Eurozone government bonds in proportion to the weightings comprising the Solactive Eurozone 1-3 Year Government Bond Index (TR) (the Index).
Relaterte ETFer
Eksponering
Fordeling
Kunder besøkte også
Forum
Nyheter
Generell informasjon
- Total prisIngen data
- Aktiva klasseRente
- KategoriRente, EUR Statsobligasjoner - korte
- Basis-valutaEUR
- UtbyttepolicyAkkumulert
- Nøkkelinformasjon
The investment objective of the Fund is to track the price and the performance, before fees and expenses, of an index that provides exposure to a portfolio of bonds issued by governments in the Eurozone with a remaining time to maturity of at least one year and up to and including three years. In order to seek to achieve its investment objective, the Fund will adopt a "passive management" investment strategy and will seek to employ a tracking methodology, meaning as far as possible and practicable, it will invest in Eurozone government bonds in proportion to the weightings comprising the Solactive Eurozone 1-3 Year Government Bond Index (TR) (the Index).
Relaterte ETFer
Nyheter
Ordredybde
Eksponering
Fordeling
Kunder besøkte også
Forum
Generell informasjon
- Total prisIngen data
- Aktiva klasseRente
- KategoriRente, EUR Statsobligasjoner - korte
- Basis-valutaEUR
- UtbyttepolicyAkkumulert
- Nøkkelinformasjon
The investment objective of the Fund is to track the price and the performance, before fees and expenses, of an index that provides exposure to a portfolio of bonds issued by governments in the Eurozone with a remaining time to maturity of at least one year and up to and including three years. In order to seek to achieve its investment objective, the Fund will adopt a "passive management" investment strategy and will seek to employ a tracking methodology, meaning as far as possible and practicable, it will invest in Eurozone government bonds in proportion to the weightings comprising the Solactive Eurozone 1-3 Year Government Bond Index (TR) (the Index).

