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Index overview

Symbol FTSE_CD
Calculation interval 30 secs
ISIN GRI99218A000
Review interval  
Reuters code
Evaluation periods  
Bloomberg code
Dates of ordinary review application  
Launch date Dec 15, 2023
Last ordinary review date
Launch price 5,000
Date of last adjustment Oct 8, 2024
Index type  
Last calculation 4,959 / Dec 3, 2024
Number of constituents 14
Countries of exposure GR
Weighting limits  
Currency EUR
Derivative products
Exchange Trade Fund

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Index Description

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