ETFs

ALPHA ASSET MANAGEMENT MUTUAL FUNDS MANAGEMENT COMPANY S.A.

AETF
Last Traded Price
53.1200 €
-2.57%
Previous Close
54.5200 €
15 minutes delayed data (during trading hours).

ETF Nav

Date (T)*2026.03.20
SymbolAETF
ISINGRF000153004
Index SymbolFTSE
Index ISIN CodeGRI99201A006
iNAV SymbolIAETF
iNAV ISINGRI99301A004
Total Units (T-1)*1,255,078
Total Units Created (T-1)*0
Total Units Redeemed (T-1)*0
Total units (T)*1,255,078
Net Assets Value (NAV)66,448,118.1100€
NAV/unit52.9434€
Dividend Per Unit1.1500€
Dividend Date Cut2025.07.01
Cash On Total Assets60,413.7800€
Cash Per Creation/Redem. Unit2,316.3300€

Portofolio Composition

ISIN Symbol Security (i) S. on ΤΑ (T-1) Security (i) CP (T-1) Security (i) S. on C/R Unit(T)
GRS830003000 ALPHA 1,591,060 3.1410 6,301
GRS003003035 ETE 506,967 12.5500 2,006
GRS831003009 TPEIR 940,375 7.1040 3,719
GRS829003003 EUROB 1,943,824 3.3850 7,691
GRS260333000 HTO 170,972 16.6900 676
GRS204003008 SAR 26,309 14.0400 104
GRS145003000 GEKTERNA 71,505 33.5600 283
GRS245213004 LAMDA 96,716 5.9500 382
GRS281003004 ELHA 61,992 3.5000 245
GRS282183003 BELA 112,297 23.1000 444

ETF Returns

Start Date13/03/2025
End Date13/03/2026
N52.0000
SD %1.09%
Re %-0.01%
R %0.06%
R*N %3.17%
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