MWO

Lyxor FTSE EPRA/NAREIT Global Developed UCITS ETF - Dist (EUR)

Latest NAV
42,5045 EUR
Performance YTD

-15,8%

Assets Under Management
170mio EUR
TER
0,45%
ISIN
LU1832418773
Dividend Policy
Distribution
Investment Objective

The Lyxor FTSE EPRA/NAREIT Global Developed UCITS ETF - Dist (EUR) aims to track the FTSE EPRA/NAREIT Developed Index Net TRI USD. The index covers the shares of listed real estate companies from across the developed world. Lyxor ETFs are efficient investment vehicles listed on exchange that offer transparent, liquid and low-cost exposure to the underlying benchmark index.

MWO

Lyxor FTSE EPRA/NAREIT Global Developed UCITS ETF - Dist (EUR)

PERFORMANCE

Performance history

The fund’s performance track record is that of FR0010833574 Lyxor FTSE EPRA/NAREIT Global Developed UCITS ETF until 09/11/2018. This fund was absorbed by LU1832418773 Lyxor FTSE EPRA/NAREIT Global Developed UCITS ETF - Dist (EUR) on 09/11/2018.

Legend:

The figures relating to [past performances / simulated past performances / past performances and simulated past performances] refer or relate to past periods and are not a reliable indicator of future results. This also applies to historical market data.

Product 1Y 3Y 5Y 10Y
Lyxor FTSE EPRA/NAREIT Global Developed UCITS ETF - Dist (EUR) -5,52% 0,14% 2,26% 6,63%
Benchmark Index -5,01% 0,66% 2,7% 6,78%
Data as of 22/06/2022, Source: Lyxor International Asset Management
Product YTD 1M 3M 1Y 3Y 5Y 10Y ALL
Lyxor FTSE EPRA/NAREIT Global Developed UCITS ETF - Dist (EUR) -15,8% -6,58% -13,55% -5,52% 0,41% 11,83% 90,03% 167,01%
Benchmark Index -15,57% -6,53% -13,42% -5,01% 1,98% 14,23% 92,86% 173,31%
Data as of 22/06/2022, Source: Lyxor International Asset Management
Product 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012
Lyxor FTSE EPRA/NAREIT Global Developed UCITS ETF - Dist (EUR) 34,97% -16,96% 23,56% -1,28% -3% 7,23% 10,5% 30,91% -0,89% 26,72%
Benchmark Index 35,67% -16,55% 24,15% -0,88% -3,06% 7,18% 10,51% 30,98% -0,81% 25,77%
Data as of 22/06/2022, Source: Lyxor International Asset Management

NAV History

Date NAV Currency Fund AUM
22/06/2022 42,5045 EUR 155mio EUR
17/06/2022 42,398 EUR 154mio EUR
16/06/2022 42,1401 EUR 157mio EUR
15/06/2022 43,1172 EUR 155mio EUR
14/06/2022 42,5103 EUR 157mio EUR

Dividend History

Date Amount Currency
08/12/2021 0,39 EUR
07/07/2021 0,73 EUR
09/12/2020 0,38 EUR
08/07/2020 1,05 EUR
11/12/2019 0,5 EUR

HOLDINGS

This ETF uses synthetic replication to track the performance of the index. As such, the holdings of the ETF may vary from that of the benchmark index.
You can read more about our approach to replication in our pragmatic guide to replication.

Name Currency Weight Sector Country
ProLogis Inc USD 5,3% Real Estate United States
EQUINIX INC USD 3,42% Real Estate United States
Public Storage USD 2,81% Real Estate United States
Welltower Inc USD 2,16% Real Estate United States
REALTY INCOME CORP USD 2,15% Real Estate United States
DIGITAL REALTY TRUST INC USD 2,13% Real Estate United States
SIMON PROPERTY GROUP INC USD 2,02% Real Estate United States
VONOVIA SE EUR 1,66% Real Estate Germany
AVALONBAY COMMUNITIES INC USD 1,61% Real Estate United States
EQUITY RESIDENTIAL USD 1,58% Real Estate United States
Name Listing Currency Quantity Weight Sector Country
Apple Inc USD 112 408 9,23% Information Technology United States
AMAZON.COM INC USD 6 305 8,47% Consumer Discretionary United States
TEXAS INSTRUMENTS INC USD 85 370 8,22% Information Technology United States
ALPHABET INC-CL A USD 6 233 7,84% Communication Services United States
MICROSOFT CORP USD 32 025 4,82% Information Technology United States
KINDER MORGAN INC USD 418 564 4,63% Energy United States
PAYPAL HOLDINGS INC USD 101 074 4,6% Information Technology United States
WALT DISNEY CO/THE USD 75 746 4,57% Communication Services United States
PFIZER INC USD 157 719 4,56% Health Care United States
INTEL CORP USD 186 091 4,53% Information Technology United States
Swap Information
Basket Adjustment The basket is daily adjusted to the fund outstanding level.
Counterparty Risk Level N/A
Swap Counterparty Société Générale
Date 01/06/2022

1 week moving average of counterparty risk level

Counterparty risk level at daily adjustment time

Swap Price Component

Although past performance is no indicator of future performance, you can get an estimation of the swap price component over the last 12 months by adding the TER to the realized Tracking Difference. the price of being long the index and short the basket of securities held by the ETF (ie. the spread applicable to the index performance provided by the swap counterparty) can be understood as the swap price component. The latter can be positive or negative, depending on the following factors: Read more

Lyxor FTSE EPRA/NAREIT Global Developed UCITS ETF - Dist (EUR)

1Y Tracking Difference -0,51%
Total Expense Ratio +0,45%
Swap price component estimation =-0,06%

Index Information

Full Name FTSE EPRA/NAREIT Developed Index Net TRI USD
Index Type Performance
Index Bloomberg Ticker TRNGLU
Index Currency USD
Number of Index Components 380
Dividend Yield (%) 3,18
Data as of 03/06/2022

Index Composition Breakdown

Currency Breakdown

USD 61,03%
JPY 9,65%
EUR 6,32%
HKD 4,76%
GBP 4,68%
AUD 3,74%
SGD 3,22%
CAD 3,01%
SEK 1,93%
Others 1,66%

Sector Breakdown

Real Estate 99,56%
Consumer Discretionary 0,16%
Health Care 0,13%
Financials 0,1%
N.A. 0,05%

Countries Breakdown

United States 59,28%
Japan 9,65%
Hong Kong 6,63%
United Kingdom 4,56%
Australia 3,74%
Singapore 3,33%
Canada 3,01%
Germany 2,88%
Sweden 1,93%
France 1,38%
Belgium 1,14%
Switzerland 1,03%
Spain 0,38%
New Zealand 0,33%
Israel 0,21%
Netherlands 0,18%
Ireland 0,1%
Austria 0,08%
Norway 0,05%
South Korea 0,04%
Finland 0,03%
Italy 0,02%
Data as of 03/06/2022, Source: Lyxor International Asset Management

CHARACTERISTICS

Main Fund Characteristics

ISIN LU1832418773
Assets Under Management 169,7mio EUR
UCITS Yes
Total Expense Ratio 0,45%
Original inception date 11/01/2010
Tax data (PEA) No
EU-SD Status Out of Scope
Fund Type SICAV
Domicile Luxembourg
Replication Method Indirect (Unfunded swap)
Portfolio Managers Raphaël Dieterlen, Jean-Marc Guiot
Share Class Currency EUR
Dividend Treatment Distribution
Umbrella AUM 15 358mio EUR
Financial Year End 31/10/2022
Swap Counterparty Société Générale
Full Property of the Assets Yes
Inception Date 08/11/2018
Minimum Investment 1 Share
SFDR Classification 6

DISCLAIMER: This fund includes a risk of capital loss. Investors therefore may not recover all or part of their initial investment. The redemption value of this fund may be less than the amount initially invested. In a worst case scenario, investors could sustain the loss of their entire investment. Be sure to read carefully the Key Investor Information document, and the “risk factors” section of a fund’s performance to better understand the risks involved.

Trading Information

Exchange Ticker Bloomberg Listing Currency Currency Hedged Listing Date Dividend Policy ADV 3M ISIN Fund AUM in CCY
Euronext MWO FP EUR - 09/11/2018 Distribution - LU1832418773 155mio EUR
Xetra LMWE GY EUR - 09/11/2018 Distribution - LU1832418773 155mio EUR
Borsa Italiana REWLD IM EUR - 09/11/2018 Distribution - LU1832418773 155mio EUR
BX Swiss LYMWE BW CHF - 17/12/2019 Distribution - LU1832418773 157mio CHF
SIX Swiss Ex* LYMWO SW USD - 09/11/2018 Distribution - LU1812091350 163mio USD
*Related Shareclasses

Market Makers

Flow Traders
Optiver
Société Générale
Data provided by relevant exchanges

Passporting Information

Spain
France
Germany
Austria
Italy
UK
Netherlands
Switzerland
Luxembourg
Data as of 22/06/2022, Source: Lyxor International Asset Management

NEWS

Notice to Shareholders
20/05/2022

Notice to Shareholders Change of Registered Office - Lyxor Index Fund

Notice to Shareholders
09/02/2022

Notice to Shareholders Lyxor Index Fund - Annual General Meeting

Notice to Shareholders
28/01/2021

Notice to Shareholders Annual general meeting of Lyxor Index Fund

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