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Euronext Brussels: An ETF issuer lists 19 new ETFs on Nyse Euronext

BELGIO 2

As from 01/04/2011, 19 new ETF issued by  ..


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            Lyxor AM will be listed on Euronext Brussels.

            Trading characteristics:
            Trading name: Lyxor STOXX EUAPSH
            Symbol: AUTX
            ISIN: FR0010916759
            Euronext code: FR0010916759
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOXXN
            RIC: AUTX.PA
            Ticker: AUTX FP
            Liquidity provider code: 504
            Liquidity provider name: Societe Generale
            Trading thresholds: 1,50%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor International Asset Management
            Underlying Index: STOXX Europe 600 Automobiles Parts Daily Short
            Index return: Total Return
            Index leverage: x-1
            RIC underlying index: .SXARS
            Ticker underlying index: SXARS
            Segment 1: Equity
            Segment 2: Strategy
            Segment 3: Short
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: EUR
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 1.100.000


            Trading characteristics:
            Trading name: Lyxor STOXX EUBKSH
            Symbol: BNKX
            ISIN: FR0010916767
            Euronext code: FR0010916767
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOXXN
            RIC: BNKX.PA
            Ticker: BNKX FP
            Liquidity provider code:  504
            Liquidity provider name: Societe Generale
            Trading thresholds: 1,50%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor International Asset Management
            Underlying Index: STOXX Europe 600 Banks Daily Short
            Index return: Total Return
            Index leverage: x-1
            RIC underlying index: .SX7RS
            Ticker underlying index: SX7RS
            Segment 1: Equity
            Segment 2: Strategy
            Segment 3: Short
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: EUR
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 2.290.000


            Trading characteristics:
            Trading name: Lyxor STOXX EUBRSH
            Symbol: BREX
            ISIN: FR0010916783
            Euronext code: FR0010916783
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement  Platform:Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOXXN
            RIC: BREX.PA
            Ticker: BREX FP
            Liquidity provider code: 504
            Liquidity provider name: Societe Generale
            Trading thresholds: 1,50%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor International Asset Management
            Underlying Index: STOXX Europe 600 Basic Resources Daily Short
            Index return: Total Return
            Index leverage: x-1
            RIC underlying index: .SXPRS
            Ticker underlying index: SXPRS
            Segment 1: Equity
            Segment 2: Strategy
            Segment 3: Short
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: EUR
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 1.500.000


            Trading characteristics:
            Trading name: Lyxor STOXX EUOGSH
            Symbol: OILX
            ISIN: FR0010916809
            Euronext code: FR0010916809 RIC: .IOILX
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOXXN
            RIC: OILX.PA
            Ticker: OILX FP
            Liquidity provider code: 504
            Liquidity provider name: Societe Generale
            Trading thresholds: 1,50%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor International Asset Management
            Underlying Index: STOXX Europe 600 Oil Gas Daily Short
            Index return: Total Return
            Index leverage: x-1
            RIC underlying index: .SXERS
            Ticker underlying index: SXERS
            Segment 1: Equity
            Segment 2: Strategy
            Segment 3: Short
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: EUR
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 500.000


            Trading characteristics:
            Trading name: Lyxor MSCI AEJ FTR
            Symbol: FICA
            ISIN: FR0010930479
            Euronext code: FR0010930479
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOXXN
            RIC: FICA.PA
            Ticker: FICA FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds:  3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor International Asset Management
            Underlying Index: MSCI AC Asia Ex Japan Financials
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIASJFN00NUS
            Ticker underlying index: M1ASJFN
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Financials
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.65%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 700.000


            Trading characteristics:
            Trading name: Lyxor MSCI AEJMTR
            Symbol: MATA
            ISIN: FR0010930487
            Euronext code: FR0010930487
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOXXN
            RIC: MATA.PA
            Ticker: MATA FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor International Asset Management
            Underlying Index: MSCI AC Asia Ex Japan Materials
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIASJMT00NUS
            Ticker underlying index: M1ASJMT
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Industrials
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.65%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 350.000


            Trading characteristics:
            Trading name: Lyxor MSCI AEJCSTR
            Symbol: COSA
            ISIN: FR0010930495
            Euronext code: FR0010930495
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOXXN
            RIC: COSA.PA
            Ticker: COSA FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor International Asset Management
            Underlying Index: MSCI AC Asia EX Japan Consumer Staples
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIASJCS00NUS
            Ticker underlying index: M1ASJCS
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Consumer Goods
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.65%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 400.000


            Trading characteristics:
            Trading name: Lyxor MSCI AEJICTR
            Symbol: IFRA
            ISIN: FR0010930503
            Euronext code: FR0010930503
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOXXN
            RIC: IFRA.PA
            Ticker: IFRA FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor International Asset Management
            Underlying Index: MSCI AC Asia Ex Japan Infrastructure Capped
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIAX00008NUS
            Ticker underlying index: M1ASJICP
            Segment 1: Equity
            Segment 2: Theme
            Segment 3: Infrastructure
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.65%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 750.000


            Trading characteristics:
            Trading name: Lyxor MSCI AEJITTR
            Symbol: TNOA
            ISIN: FR0010930511
            Euronext code: FR0010930511
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOXXN
            RIC: TNOA.PA
            Ticker: TNOA FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor International Asset Management
            Underlying Index: MSCI AC Asia ex Japan Information Technology
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIASJIT00NUS
            Ticker underlying index: M1ASJIT
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Technology
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.65%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 1.000.000


            Trading characteristics:
            Trading name: Lyxor MSCI W CDTR
            Symbol: CODW
            ISIN: LU0533032008
            Euronext code: LU0533032008
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOGSR
            RIC: CODW.PA
            Ticker: CODW FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor AM Luxembourg
            Underlying Index: MSCI World Consumer Discretionary
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIWO0CD00NUS
            Ticker underlying index: M1WO0CD
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Consumer Goods
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 170.000


            Trading characteristics:
            Trading name: Lyxor MSCI W CSTR
            Symbol: COSW
            ISIN: LU0533032263
            Euronext code: LU0533032263
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOGSR
            RIC: COSW.PA
            Ticker: COSW FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor AM Luxembourg
            Underlying Index: MSCI World Consumer Staples
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIWO0CS00NUS
            Ticker underlying index: M1WO0CS
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Consumer Goods
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 125.000


            Trading characteristics:
            Trading name: Lyxor MSCI W ETR
            Symbol: NRGW
            ISIN: LU0533032420
            Euronext code: LU0533032420
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOGSR
            RIC: NRGW.PA
            Ticker: NRGW FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor AM Luxembourg
            Underlying Index: MSCI World Energy
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIWO0EN00NUS
            Ticker underlying index: M1WO0EN
            Segment 1: Equity
            Segment 2: Theme
            Segment 3: Energy
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 75.000


            Trading characteristics:
            Trading name: Lyxor MSCI W FTR
            Symbol: FINW
            ISIN: LU0533032859
            Euronext code: LU0533032859
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOGSR
            RIC: FINW.PA
            Ticker: FINW FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor AM Luxembourg
            Underlying Index: MSCI World Financials
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIWO0FN00NUS
            Ticker underlying index: M1WO0FN
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Financials
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 195.000


            Trading characteristics:
            Trading name: Lyxor MSCI W HCTR
            Symbol: HLTW
            ISIN: LU0533033238
            Euronext code: LU0533033238
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOGSR
            RIC: HLTW.PA
            Ticker: HLTW FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor AM Luxembourg
            Underlying Index: MSCI World Health Care
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIWO0HC00NUS
            Ticker underlying index: M1WO0HC
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Health Care
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 175.000


            Trading characteristics:
            Trading name: Lyxor MSCI W ITR
            Symbol: INDW
            ISIN: LU0533033402
            Euronext code: LU0533033402
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOGSR
            RIC: INDW.PA
            Ticker: INDW FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor AM Luxembourg
            Underlying Index: MSCI World Industrials
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIWO0IN00NUS
            Ticker underlying index: M1WO0IN
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Industrials
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 120.000


            Trading characteristics:
            Trading name: Lyxor MSCI W ITTR
            Symbol: TNOW
            ISIN: LU0533033667
            Euronext code: LU0533033667
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOGSR
            RIC: TNOW.PA
            Ticker: TNOW FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor AM Luxembourg
            Underlying Index: MSCI World Information Technology
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIWO0IT00NUS
            Ticker underlying index: M1WO0IT
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Technology
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 230.000


            Trading characteristics:
            Trading name: Lyxor MSCI W MTR
            Symbol: MATW
            ISIN: LU0533033824
            Euronext code: LU0533033824
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOGSR
            RIC: MATW.PA
            Ticker: MATW FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor AM Luxembourg
            Underlying Index: MSCI World Materials
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIWO0MT00NUS
            Ticker underlying index: M1WO0ML
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Industrials
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan
            (PEA) Eligibility No
            Outstanding shares: 70.000


            Trading characteristics:
            Trading name: Lyxor MSCI W TSTR
            Symbol: TELW
            ISIN: LU0533034129
            Euronext code: LU0533034129
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOGSR
            RIC: TELW.PA
            Ticker: TELW FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor AM Luxembourg
            Underlying Index: MSCI World Telecommunication Services
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIWO0TC00NUS
            Ticker underlying index: M1WO0TC
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Telecommunications
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 270.000


            Trading characteristics:
            Trading name: Lyxor MSCI W UTR
            Symbol: UTLW
            ISIN: LU0533034558
            Euronext code: LU0533034558
            Ticker: IUTLW
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): Yes
            CFI code: EUOGSR
            RIC: UTLW.PA
            Ticker: UTLW FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 3,00%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: Lyxor AM Luxembourg
            Underlying Index: MSCI World Utilities
            Index return: Total Return
            Index leverage: x1
            RIC underlying index: .MIWO0UT00NUS
            Ticker underlying index: M1WO0UL
            Segment 1: Equity
            Segment 2: Sectorial
            Segment 3: Utilities
            Segment 4:
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Capitalization
            Base currency: USD
            French personal equity saving plan
            (PEA) Eligibility No
            Outstanding shares: 125.000

            Source: ETFWorld – Euronext

             

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