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NameBest
buy
Best
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Change
(%)
Axa40.0640.080.93sentiment_arrow
Barclays4.584.580.38sentiment_arrow
BMW69.5469.58-0.32sentiment_arrow
BNP Paribas93.6493.660.54sentiment_arrow
BP5.425.42-0.68sentiment_arrow
Commerzbank36.4536.48-0.03sentiment_arrow
CSG14.2614.29-2.31sentiment_arrow
DB27.5427.550.84sentiment_arrow
E.ON18.1318.15-0.17sentiment_arrow
ERSTE AT 102.40102.601.29sentiment_arrow
HSBC13.6013.61-0.77sentiment_arrow
ING Group25.4625.460.28sentiment_arrow
KBC112.50112.550.45sentiment_arrow
Lloyds1.001.000.63sentiment_arrow
M&S3.613.610.71sentiment_arrow
Daimler48.3248.33-0.07sentiment_arrow
Orange17.8417.850.22sentiment_arrow
Siemens267.90268.00-0.02sentiment_arrow
SG70.6170.641.22sentiment_arrow
Total77.1577.17-0.23sentiment_arrow
Volkswagen88.6088.70-0.95sentiment_arrow
09/06/2026 09:29:55
Patria Direct
Patria DirectThings our clients appreciate most: A large and experienced team of professional brokers, customer care support, stable and secure trading platform, unique news and information service. Try our demo account and see for yourself.

Free services: Patria Plus news services, analytical reports, account opening and keeping, submitting and cancelling orders, FX conversions. Moreover, for active traders we also offer free real-time data and Investor Plus services.
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Curr.Best
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(%)
CZK/EUR24.186524.22490.01sentiment_arrow
CZK/USD20.960020.9860-0.03sentiment_arrow
USD/EUR1.15411.15410.04sentiment_arrow
JPY/USD160.1950160.20100.03sentiment_arrow
USD/GBP1.33641.33650.17sentiment_arrow
HUF/EUR355.1581355.7428-0.14sentiment_arrow
PLN/EUR4.23344.2436-0.10sentiment_arrow
Zpožděná data
09/06/2026 09:39:48


  • 05/12/2023
Goldman Sachs Global Banking & Insurance Equity - X Cap USD
Price (USD) Yield 3M (%) Yield 6M (%) Yield 1Y (%)
805.48 3.61 8.03 5.77

Parameters
Basic information Price information
ISIN LU0121172307 Date 05/12/2023
Issuer Goldman Sachs Curr. USD
IPO date 27/04/2001 Total net fund assets (mil.) 7,539,690.58 USD
Index MSCI World Financials Index NAV 805.48 USD
Management fee 2 % ročně 1 week yield -
Fund type Stock 1 month yield -
Origin Luxembourg 3 months yield 3.61 %
Min. investment - 6 months yield 8.03 %
Prvotní/následná investice - 1 year yield 5.77 %
3 years yield 18.44 %
Yield since inception 36.75 %
Investment policy: Podfond investuje především do diverzifikovaného portfolia akcií a/nebo převoditelných cenných papírů vydaných společnostmi, které podnikají ve finančním sektoru. V portfoliu jsou zahrnuty společnosti z následujících oborů: bankovnictví, spotřebitelské úvěry, investiční bankovnictví a poradenské služby, správa aktiv a pojišťovnictví. Srovnávacím indexem podfondu je MSCI World Financials Index.
Online chart
Source: Patria Direct, AKAT CR