| Name Ordina in modo discendente | Isin | Symbol | Last | % | Date/Time | YTD% |
|---|---|---|---|---|---|---|
| BEL Health Care | QS0011225206 | BEHCP | EUR 6 868,55 |
+0,67% | 03 Sep 2026 | +7,03% |
| BEL Health Care NR | QS0011016795 | BEHC | EUR 8 397,30 |
+0,67% | 03 Sep 2026 | +7,30% |
| BEL Industrials | QS0011225214 | BEINP | EUR 1 915,26 |
+1,20% | 03 Sep 2026 | +3,23% |
| BEL Industrials NR | QS0011016738 | BEIN | EUR 3 090,12 |
+1,20% | 03 Sep 2026 | +5,30% |
| BEL Mid | BE0389856130 | BELM | EUR 6 676,68 |
+1,13% | 03 Sep 2026 | +3,25% |
| BEL Mid GR | QS0011211230 | BELMG | EUR 13 446,60 |
+1,13% | 03 Sep 2026 | +6,81% |
| BEL Mid NR | BE0389561094 | BELMC | EUR 11 284,74 |
+1,13% | 03 Sep 2026 | +5,79% |
| BEL Real Estate | BE0004643848 | BERE | EUR 722,26 |
+1,54% | 03 Sep 2026 | -5,15% |
| BEL Real Estate NR | BE0004644853 | BEREN | EUR 915,01 |
+1,54% | 03 Sep 2026 | -1,52% |
| BEL Small | BE0389857146 | BELS | EUR 7 629,24 |
+0,17% | 03 Sep 2026 | -9,54% |
| BEL Small GR | QS0011211248 | BELSG | EUR 14 482,75 |
+0,17% | 03 Sep 2026 | -6,04% |
| BEL Small NR | BE0389556045 | BELSC | EUR 12 333,50 |
+0,17% | 03 Sep 2026 | -7,10% |
| BEL Technology | QS0011225172 | BETP | EUR 1 299,61 |
+0,34% | 03 Sep 2026 | -1,10% |
| BEL Technology NR | QS0011016936 | BETEC | EUR 1 912,59 |
+0,34% | 03 Sep 2026 | +1,31% |
| BEL Telecommunications | QS0011225198 | BETEP | EUR 364,06 |
+0,32% | 03 Sep 2026 | -4,81% |
| BEL Telecommunications NR | QS0011016860 | BETEL | EUR 903,45 |
+0,32% | 03 Sep 2026 | -3,05% |
| BEL Utilities | QS0011225164 | BEUTP | EUR 1 361,01 |
-0,46% | 03 Sep 2026 | +6,82% |
| BEL Utilities NR | QS0011019005 | BEUT | EUR 2 774,64 |
-0,46% | 03 Sep 2026 | +10,17% |
| CAC 40 | FR0003500008 | PX1 | EUR 8 286,40 |
+0,08% | 03 Sep 2026 | +1,68% |
| CAC 40 10x Leverage TRF Adjusted | FRIX00007826 | C10TA | EUR 988,93 |
0,00% | 03 Sep 2026 | -2,50% |
| CAC 40 10x Leverage TRF Adjusted Spread | FRIX00007834 | C10TS | EUR 100,50 |
0,00% | 03 Sep 2026 | 0,00% |
| CAC 40 Cumulative Dividend | FR0013252392 | C4CD | EUR 1 925,51 |
0,00% | 03 Sep 2026 | +12,15% |
| CAC 40 Decrement 5% | FRIX00007032 | PX1D5 | EUR 1 369,45 |
+0,06% | 03 Sep 2026 | +0,24% |
| CAC 40 Dividend | QS0011158118 | CACDI | EUR 216,43 |
0,00% | 03 Sep 2026 | +2 668,00% |
| CAC 40 Equal Weight | QS0011159777 | CACEW | EUR 2 962,01 |
+0,58% | 03 Sep 2026 | +4,51% |
| CAC 40 Equal Weight GR | QS0011211214 | CACEG | EUR 5 195,94 |
+0,58% | 03 Sep 2026 | +7,55% |
| CAC 40 Equal Weight NR | QS0011211198 | CACEN | EUR 4 510,63 |
+0,58% | 03 Sep 2026 | +6,80% |
| CAC 40 ESG | FR0014002B31 | CESGP | EUR 2 559,24 |
+0,09% | 03 Sep 2026 | -1,19% |
| CAC 40 ESG Decrement 3% | FR0014002G69 | CED3 | EUR 2 249,74 |
+0,08% | 03 Sep 2026 | -1,21% |
| CAC 40 ESG Decrement 3.5% | FR0014002G51 | CED35 | EUR 2 069,68 |
+0,08% | 03 Sep 2026 | -1,54% |
| CAC 40 ESG Decrement 4% | FR0014002G77 | CED4 | EUR 1 904,02 |
+0,08% | 03 Sep 2026 | -1,87% |
| CAC 40 ESG Decrement 4.5% | FR0014002G85 | CED45 | EUR 1 751,62 |
+0,08% | 03 Sep 2026 | -2,20% |
| CAC 40 ESG Decrement 5% | FR0014002G93 | CED5 | EUR 1 611,42 |
+0,08% | 03 Sep 2026 | -2,53% |
| CAC 40 ESG GR | FR0014002B49 | CESGG | EUR 4 287,42 |
+0,09% | 03 Sep 2026 | +1,47% |
| CAC 40 ESG NR | FR0014002B56 | CESGN | EUR 3 711,02 |
+0,09% | 03 Sep 2026 | +0,81% |
| CAC 40 EW Decrement 5% | FR0013236254 | C4EWD | EUR 1 862,37 |
+0,57% | 03 Sep 2026 | +3,26% |
| CAC 40 Futures Monthly Roll 4D Excess Return | FRIX00001936 | CAFME | EUR 3 141,39 |
0,00% | 03 Sep 2026 | +2,33% |
| CAC 40 Futures Monthly Roll 4D TR | FRIX00007784 | CAFMT | EUR 3 423,59 |
0,00% | 03 Sep 2026 | +3,73% |
| CAC 40 Governance | FR0013232188 | CAGOV | EUR 1 651,73 |
+0,73% | 03 Sep 2026 | +6,96% |
| CAC 40 Governance Decrement 5% | FR0013254323 | CAGOD | EUR 937,13 |
+0,72% | 03 Sep 2026 | +5,56% |
| CAC 40 Governance GR | FR0013232204 | CAGOG | EUR 3 174,62 |
+0,73% | 03 Sep 2026 | +9,91% |
| CAC 40 Governance NR | FR0013232196 | CAGON | EUR 2 637,41 |
+0,73% | 03 Sep 2026 | +9,18% |
| CAC 40 GR | QS0011131834 | PX1GR | EUR 27 462,67 |
+0,08% | 03 Sep 2026 | +4,33% |
| CAC 40 GR 50 Points Decrement | FRIX00007156 | PX150 | EUR 897,80 |
+0,05% | 03 Sep 2026 | +0,48% |
| CAC 40 Gross Return Decrement 5% | FRIX00003072 | PX1G5 | EUR 1 593,02 |
+0,06% | 03 Sep 2026 | +0,87% |
| CAC 40 Inflation Adjusted | FRIX00000953 | CACIN | EUR 126,16 |
+0,08% | 03 Sep 2026 | -0,79% |
| CAC 40 Leverage | QS0011095815 | CACLV | EUR 1 852,523 |
+0,13% | 03 Sep 2026 | +0,23% |
| CAC 40 Leverage GR | QS0011216213 | CACGL | EUR 9 071,167 |
+0,13% | 03 Sep 2026 | +5,52% |
| CAC 40 Leverage NR | QS0011179221 | CACTL | EUR 6 341,766 |
+0,13% | 03 Sep 2026 | +4,20% |
| CAC 40 NR | QS0011131826 | PX1NR | EUR 20 160,78 |
+0,08% | 03 Sep 2026 | +3,67% |
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