Index | FTSE EPRA/NAREIT Developed |
Investment focus | Real Estate, World |
Fund size | GBP 112 m |
Total expense ratio | 0.45% p.a. |
Replication | Synthetic (Unfunded swap) |
Legal structure | ETF |
Strategy risk | Long-only |
Sustainability | No |
Fund currency | EUR |
Currency risk | Currency unhedged |
Volatility 1 year (in GBP) | 12.81% |
Inception/ Listing Date | 11 January 2010 |
Distribution policy | Distributing |
Distribution frequency | Annually |
Fund domicile | Luxembourg |
Fund Provider | Amundi ETF |
Fund Structure | Company With Variable Capital (SICAV) |
UCITS compliance | Yes |
Administrator | CACEIS BANK Luxembourg S.A. |
Investment Advisor | |
Custodian Bank | CACEIS Bank Luxembourg S.A. |
Revision Company | PWC |
Fiscal Year End | 30 September |
Swiss representative | CACEIS (Switzerland) SA |
Swiss paying agent | CACEIS Bank, Paris, succursale de Nyon / Suisse |
Germany | Unknown |
Switzerland | ESTV Reporting |
Austria | Tax Reporting Fund |
UK | UK Reporting |
Indextype | Total return index |
Swap counterparty | Société Générale |
Collateral manager | |
Securities lending | No |
Securities lending counterparty |
YTD | +5.04% |
1 month | -1.64% |
3 months | +3.06% |
6 months | +7.67% |
1 year | +14.51% |
3 years | -7.09% |
5 years | -1.10% |
Since inception (MAX) | +166.94% |
2023 | +3.12% |
2022 | -16.25% |
2021 | +26.16% |
2020 | -12.26% |
Current dividend yield | 2.50% |
Dividends (last 12 months) | GBP 0.90 |
Period | Dividend in GBP | Dividend yield in % |
---|---|---|
1 Year | GBP 0.90 | 2.79% |
2023 | GBP 0.90 | 2.64% |
2022 | GBP 1.38 | 3.26% |
2021 | GBP 0.96 | 2.78% |
2020 | GBP 1.29 | 3.15% |
Volatility 1 year | 12.81% |
Volatility 3 years | 15.73% |
Volatility 5 years | 18.86% |
Return per risk 1 year | 1.13 |
Return per risk 3 years | -0.15 |
Return per risk 5 years | -0.01 |
Maximum drawdown 1 year | -8.00% |
Maximum drawdown 3 years | -27.74% |
Maximum drawdown 5 years | -36.38% |
Maximum drawdown since inception | -36.46% |
Listing | Trade Currency | Ticker | Bloomberg / iNAV Bloomberg Code | Reuters RIC / iNAV Reuters | Market Maker |
---|---|---|---|---|---|
SIX Swiss Exchange | USD | LYMWO | - - | - - | - |
Borsa Italiana | EUR | REWLD | - - | - - | - |
gettex | EUR | LMWE | - - | - - | - |
Stuttgart Stock Exchange | EUR | LMWE | - - | - - | - |
Borsa Italiana | EUR | - | REWLD IM REWLDIV | REWLD.MI LYXREWLDINAV=SOLA | BNP Paribas Arbitrage |
Euronext Paris | EUR | MWO | MWO FP REWLDIV | MWO.PA LYXREWLDINAV=SOLA | BNP Paribas Arbitrage |
XETRA | EUR | LMWE | LMWE GY REWLDIV | LMWE.DE LYXREWLDINAV=SOLA | BNP Paribas Arbitrage |
Fund name | Fund Size in m € (AuM) | TER p.a. | Distribution | Replication |
---|---|---|---|---|
HSBC FTSE EPRA NAREIT Developed UCITS ETF USD | 999 | 0.24% p.a. | Distributing | Full replication |
Amundi Index FTSE EPRA NAREIT Global UCITS ETF DR | 300 | 0.24% p.a. | Accumulating | Full replication |
HSBC FTSE EPRA NAREIT Developed UCITS ETF USD (Acc) | 40 | 0.24% p.a. | Accumulating | Full replication |