ETF Quickrank

 NameMorningstar
Category
Morningstar
Rating
YTD
Return
%
Total
Expense
Ratio%
Latest
Price
 db Agriculture Booster ETC USDDerivative CommoditiesNot Rated--115.86USD
 db Commodity Booster ETC USDDerivative CommoditiesNot Rated--102.62USD
 db Energy Booster ETC USDDerivative CommoditiesNot Rated--99.12USD
 db ETC Brent Crude Oil Euro Hedged ETCNot CategorisedNot Rated--93.37-
 db ETC Industrial Metals Euro Hedged ETCNot CategorisedNot Rated--97.21-
 db ETC Monthly Short Brent Crude Oil Euro Hedged ETCNot CategorisedNot Rated--101.54-
 db ETC Monthly Short Gold Euro Hedged ETCNot CategorisedNot Rated--87.91-
 db Industrial Metals Booster ETC USDDerivative CommoditiesNot Rated---USD
 db Natural Gas Booster ETC USDDerivative CommoditiesNot Rated---USD
 db S&P GSCI Agriculture ETC USDDerivative CommoditiesNot Rated---USD
 db S&P GSCI Energy ETC USDDerivative CommoditiesNot Rated---USD
 db S&P GSCI ETC USDDerivative CommoditiesNot Rated---USD
 db S&P GSCI Industrial Metals ETC USDDerivative CommoditiesNot Rated---USD
 db WTI Crude Oil Booster ETC USDDerivative CommoditiesNot Rated---USD
 db x-trackers Brazil TRN Index GBPBrazil Equity4 Star0.060.6542.10GBP
 db x-trackers Brazil TRN Index USDBrazil Equity4 Star4.010.6542.10USD
 db x-trackers CAC 40 Short Daily GBPOtherNot Rated-6.520.4049.40GBP
 db x-trackers Currency Returns 2C USDOtherNot Rated--47.59USD
 db x-trackers Currency Returns 3C GBPOtherNot Rated--29.03GBP
 db x-trackers db Hedge Fund 2C USDOtherNot Rated3.310.9010.86USD
Total Results: 696
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Fund prices are updated every weekday after the close of trading and before 11 p.m. wherever possible. Performance figures are presented in British Pounds (GBP). Fund returns are based upon Nav to Nav or Bid to Bid income reinvested basis. UK-domiciled funds report after-tax dividends. Non-UK-domiciled funds report gross dividends.