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Four new ETF listed on Euronext Paris

FRANCIA_NOTREDAME

As from 18/01/2010, thirteen new ETF issued by LYXOR AM will be listed on Euronext Paris ..

            LYXOR MSCI EU RE

            Trading characteristics:
            Trading name: LYXOR MSCI EU RE
            Symbol: MEH
            ISIN: FR0010833558
            Euronext code: FR0010833558
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): No
            CFI code: EUXXXX
            RIC: MEH.PA
            Ticker: MEH FP
            Liquidity provider code: 504
            Liquidity provider name: Société Générale
            Trading thresholds: 1,50%

            Product characteristics:
            Issuer: Lyxor AM
            Fund manager: LYXOR INTERNATIONAL ASSET MANAGEMENT
            Underlying Index: MSCI Europe Real Estate
            Index return:
            Index leverage:
            RIC underlying index:
            Ticker underlying index: MXEU0RE
            Segment 1: Equity
            Segment 2: Theme
            Segment 3: Real Estate
            Segment 4: –
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.40%
            Dividend frequency: Annually
            Base currency: EUR
            French personal equity saving plan
            (PEA) Eligibility Yes
            Outstanding shares: 800.000


            LYXOR MSCI WO RE

            Trading characteristics:
            Trading name: LYXOR MSCI WO RE
            Symbol: MWO
            ISIN: FR0010833574
            Euronext code: FR0010833574
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement
            Platform:
            Euroclear France DSO eligibility (SRD): No
            CFI code: EUXXXX
            RIC: MWO.PA
            Ticker: MWO 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 World Real Estate
            Index return:
            Index leverage:
            RIC underlying index:
            Ticker underlying index: MXWO0RE
            Segment 1: Equity
            Segment 2: Theme
            Segment 3: Real Estate
            Segment 4: –
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.45%
            Dividend frequency: Annually
            Base currency: EUR
            French personal equity saving plan
            (PEA) Eligibility No
            Outstanding shares: 800.000


            LYXOR MSCI US RE

            Trading characteristics:

            Trading name: LYXOR MSCI US RE
            Symbol: MUA ISIN QS0011188537
            ISIN: FR0010833566 Symbol INMUA
            Euronext code: FR0010833566 RIC: .INMUA
            Trading group: 08 Ticker: INMUA
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): No
            CFI code: EUXXXX
            RIC: MUA.PA
            Ticker: MUA 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 USA Real Estate
            Index return:
            Index leverage:
            RIC underlying index:
            Ticker underlying index: MXUS0RE
            Segment 1: Equity
            Segment 2: Theme
            Segment 3: Real Estate
            Segment 4: –
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.40%
            Dividend frequency: Annually
            Base currency: EUR
            French personal equity saving plan (PEA) Eligibility No
            Outstanding shares: 1.000.000


            LYXOR MSCI ASIA RE

            Trading characteristics:
            Trading name: LYXOR MSCI ASIA RE
            Symbol: AHJ
            ISIN: FR0010833541
            Euronext code: FR0010833541
            Trading group: 08
            Tick size: 0,01
            Trading currency: EUR
            Settlement Platform: Euroclear France
            DSO eligibility (SRD): No
            CFI code: EUXXXX
            RIC: AHJ.PA
            Ticker: AHJ 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 RE
            Index return:
            Index leverage:
            RIC underlying index:
            Ticker underlying index: MXASJRE
            Segment 1: Equity
            Segment 2: Theme
            Segment 3: Real Estate
            Segment 4: –
            Exposition type: Swap
            Legal structure:
            Total Earning Ratio: 0.65%
            Dividend frequency: Annually
            Base currency: EUR
            French personal equity saving plan
            (PEA) Eligibility No
            Outstanding shares: 2.500.000

             

            Source: ETFWorld – Euronext

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