ETFs
ALPHA ASSET MANAGEMENT MUTUAL FUNDS MANAGEMENT COMPANY S.A.
AETF
Last Traded Price
48.1100 €
+0.37%
Previous Close
47.9350 €
ETF Nav
Date (T)* | 2025.07.04 |
---|---|
Symbol | AETF |
ISIN | GRF000153004 |
Index Symbol | FTSE |
Index ISIN Code | GRI99201A006 |
iNAV Symbol | IAETF |
iNAV ISIN | GRI99301A004 |
Total Units (T-1)* | 1,001,502 |
Total Units Created (T-1)* | 23,576 |
Total Units Redeemed (T-1)* | 0 |
Total units (T)* | 1,025,078 |
Net Assets Value (NAV) | 49,179,531.1000€ |
NAV/unit | 47.9764€ |
Dividend Per Unit | 1.1500€ |
Dividend Date Cut | 2025.07.01 |
Cash On Total Assets | 138,501.6000€ |
Cash Per Creation/Redem. Unit | 176.3900€ |
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 | 1,623,106 | 3.1350 | 7,929 |
|
GRS003003035 | ETE | 433,956 | 11.2900 | 2,129 |
|
GRS014003032 | TPEIR | 847,433 | 6.0900 | 4,162 |
|
GRS323003012 | EUROB | 1,727,897 | 3.0400 | 8,491 |
|
GRS260333000 | HTO | 146,344 | 15.7800 | 714 |
|
GRS204003008 | SAR | 17,568 | 12.6000 | 85 |
|
GRS145003000 | GEKTERNA | 58,396 | 20.1400 | 282 |
|
GRS393503008 | MYTIL | 88,986 | 46.5000 | 435 |
|
GRS245213004 | LAMDA | 67,166 | 6.4700 | 326 |
|
GRS281003004 | ELHA | 47,189 | 2.6150 | 231 |
|
ETF Returns
Start Date | 27/06/2024 |
---|---|
End Date | 27/06/2025 |
N | 52.0000 |
SD % | 1.32% |
Re % | 0.52% |
R % | 0.07% |
R*N % | 3.57% |