Lyxor ETF SICAV (LUX) - MSCI World Utilities TR - C (LU0533034632)

Product Sheet

Identifiers  

Fund Name Lyxor ETF SICAV (LUX) - MSCI World Utilities TR
ISIN LU0533034632
Valor 11602861
Bloomberg UTIW LN

Description  

Tracking the underlying index


Product detail  

Fund provider Lyxor Exchange Traded Funds
Umbrella Multi Units Luxembourg
Fund Currency EUR
Share Class Currency USD
Distribution Policy Accumulating
Hedged No
Funds of Funds No
Investment Category Equity / Sectors - Utilities
Inception NAV 151.079 USD
Management Fee -
Ongoing Charges/ Total Expense Ratio (TER) c 0.400% (30.01.2013)
Launch Date 27.09.2010
Domicile Country
Luxembourg
Replication Status Synthetic - unfunded
Structure Corporate entity (SICAV, OEIC, SICAF, others)
Legal Status UCITS
Distributed in
AT CH DE ES FR HK IE IT LI LU SG UK
- - - - - - -

c Depending on fund provider's data delivery: Total Expense Ratio (TER) or Ongoing Charges

NAV (USD) 173.22 (17.05.13)
AuM (USD) 1.39m (17.05.13)
Number of Shares 8'000 (17.05.13)
Last distribution (USD) -