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Lyxor US Treasury 10+Y [DJAD.DE]

Exchange: XETRA

Lyxor US Treasury 10+Y Price, Forecast, Insider, Ratings, Fundamentals & Signals

Lyxor US Treasury 10+Y is listed at the  Exchange

0.29% €94.03

Europe/Berlin / 2 mai 2024 @ 17:36


Lyxor US Treasury 10+Y: Main Fundamentals PE comparison

PE RATIO: COMPANY / SECTOR
0.00x
Company: PE 0 | sector: PE 18.22
PE RATIO: COMPANY / INDUSTRY
N/A
Company: PE 0 | industry: PE 0
DISCOUNTED CASH FLOW VALUE
N/A
N/A
Expected Trading Range (DAY)

€ 93.12 - 94.95

( +/- 0.97%)
ATR Model: 14 days

Live Trading Signals (every 1 min)

Forecast 1: 16:00 - €93.82
Forecast 2: 16:00 - €93.82
Forecast 3: 16:00 - €93.82
SCORE
10.00
Buy
Score Algorithm Version: 1.2C
Last version updated: Fri April 15th, 2022
Indicator Signals
RSI 21
SMA
Trend
Trend 2
Trend 3
Volume Signals
Price €94.03 (0.29% )
Volume 0.0001 mill
Avg. Vol. 0.0016 mill
% of Avg. Vol 9.20 %
Signal 1:
Signal 2:

Today

Intraday chart data with high, low, open and close for Lyxor US Treasury 10+Y (DR) UCITS ETF Dist

Last 12 Months

Last 12 months chart data with high, low, open and close for Lyxor US Treasury 10+Y (DR) UCITS ETF Dist

RSI

Last 10 Buy & Sell Signals For DJAD.DE

0 Signals | Accuracy: 0.00% | Accuracy Buy: 0.00% | Accuracy Sell: 0.00%

Avg return buy: 0.00 % | Avg return sell: 0.00 %

$1 invested is now $1.00 or 0.00% since Coming Soon

Date Signal @ Closed %
Profile picture for
            Lyxor US Treasury 10+Y (DR) UCITS ETF Dist

DJAD.DE

The Sub-Fund is an index-tracking UCITS passively managed. The Reference Currency of the Sub-Fund is the US Dollar (USD). The investment objective of sub-fund is to reflect the performance of the Bloomberg Barclays US Treasury 10+ Year Index (hereinafter the “Benchmark Index”) denominated in USD and representative of United States “Treasury bonds” with remaining maturities exceeding 10 years - while minimising the volatility of the difference between the return of the Sub-Fund and the return of the Benchmark Index (the “Tracking Error”). For monthly hedged share classes mentioned in APPENDIX C - SUMMARY OF SHARES AND FEES, the Sub-Fund will also use a monthly currency-hedge strategy, in order to minimize the impact of the evolution of each respective share class currency against currencies of each Index component. The anticipated level of the tracking error under normal market conditions is expected to be up to 0.30%.

Last 10 Buy Signals

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