Unsere Investmentprodukte bieten Zugang zu den Anlagemöglichkeiten rund um Kryptowährungen, Digital Assets und Blockchain, an der regulierten Wertpapierbörse. Dabei stehen Qualität und Anlegerschutz im Mittelpunkt unseres Produktentwicklungsansatzes. Anleger können unsere Produkte, wie Aktien und ETFs, bequem und sicher über ihre Online-Plattform oder Depotbank handeln.
Unsere Investmentprodukte bieten Zugang zu den Anlagemöglichkeiten rund um Kryptowährungen, Digital Assets und Blockchain, an der regulierten Wertpapierbörse. Dabei stehen Qualität und Anlegerschutz im Mittelpunkt unseres Produktentwicklungsansatzes. Anleger können unsere Produkte, wie Aktien und ETFs, bequem und sicher über ihre Online-Plattform oder Depotbank handeln.
Produktliste herunterladen EMT EETKürzel | BTCE |
Bloomberg | BTCEGZ QX |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCF |
Bloomberg | BTCF GR |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCE |
Bloomberg | BTCE AV |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCE |
Bloomberg | BTCED QX |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCE |
Bloomberg | BTCE GR |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCE |
Bloomberg | BTCE FP |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCE |
Bloomberg | BTCEGBP SW |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCE |
Bloomberg | BTCED QE |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCEd |
Bloomberg | BTCED I2 |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCE |
Bloomberg | BTCECHF SW |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCE |
Bloomberg | BTCE NA |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCE |
Bloomberg | BTCECZ QX |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | BTCE |
Bloomberg | BTCEUSD SW |
ISIN | DE000A27Z304 |
AUM | $1,318.68 M |
NAV | 56.50 |
YTD |
34.40 %
|
Kürzel | ZETH |
Bloomberg | ZETH NA |
ISIN | DE000A3GMKD7 |
AUM | $108.57 M |
NAV | 28.30 |
YTD |
25.35 %
|
Kürzel | ZETH |
Bloomberg | ZETH AV |
ISIN | DE000A3GMKD7 |
AUM | $108.57 M |
NAV | 28.30 |
YTD |
25.35 %
|
Kürzel | ZETH |
Bloomberg | ZETHGBP SW |
ISIN | DE000A3GMKD7 |
AUM | $108.57 M |
NAV | 28.30 |
YTD |
25.35 %
|
Kürzel | ZETI |
Bloomberg | ZETI GR |
ISIN | DE000A3GMKD7 |
AUM | $108.57 M |
NAV | 28.30 |
YTD |
25.35 %
|
Kürzel | ZETH |
Bloomberg | ZETHCHF SW |
ISIN | DE000A3GMKD7 |
AUM | $108.57 M |
NAV | 28.30 |
YTD |
25.35 %
|
Kürzel | ZETH |
Bloomberg | ZETH GR |
ISIN | DE000A3GMKD7 |
AUM | $108.57 M |
NAV | 28.30 |
YTD |
25.35 %
|
Kürzel | ZETH |
Bloomberg | ZETH FP |
ISIN | DE000A3GMKD7 |
AUM | $108.57 M |
NAV | 28.30 |
YTD |
25.35 %
|
Kürzel | ZETH |
Bloomberg | ZETH SW |
ISIN | DE000A3GMKD7 |
AUM | $108.57 M |
NAV | 28.30 |
YTD |
25.35 %
|
Kürzel | ET32 |
Bloomberg | ET33 GR |
ISIN | DE000A3G90G9 |
AUM | $14.51 M |
NAV | 5.99 |
YTD |
-3.97 %
|
Kürzel | ET32 |
Bloomberg | ET32 GR |
ISIN | DE000A3G90G9 |
AUM | $14.51 M |
NAV | 5.99 |
YTD |
-3.97 %
|
Kürzel | ESOM |
Bloomberg | ESOM GR |
ISIN | DE000A3GVKZ1 |
AUM | $13.79 M |
NAV | 12.43 |
YTD |
18.46 %
|
Kürzel | ESOL |
Bloomberg | ESOL GR |
ISIN | DE000A3GVKZ1 |
AUM | $13.79 M |
NAV | 12.43 |
YTD |
18.46 %
|
Kürzel | ESOL |
Bloomberg | ESOLCHF SW |
ISIN | DE000A3GVKZ1 |
AUM | $13.79 M |
NAV | 12.43 |
YTD |
18.46 %
|
Kürzel | ESOL |
Bloomberg | ESOLGBP SW |
ISIN | DE000A3GVKZ1 |
AUM | $13.79 M |
NAV | 12.43 |
YTD |
18.46 %
|
Kürzel | DA20 |
Bloomberg | DA20CHF BW |
ISIN | DE000A3G3ZL3 |
AUM | $6.86 M |
NAV | 91.83 |
YTD |
17.56 %
|
Kürzel | DA20 |
Bloomberg | DA21 GR |
ISIN | DE000A3G3ZL3 |
AUM | $6.86 M |
NAV | 91.83 |
YTD |
17.56 %
|
Kürzel | DA20 |
Bloomberg | DA20 GR |
ISIN | DE000A3G3ZL3 |
AUM | $6.86 M |
NAV | 91.83 |
YTD |
17.56 %
|
Kürzel | DA20 |
Bloomberg | DA20 FP |
ISIN | DE000A3G3ZL3 |
AUM | $6.86 M |
NAV | 91.83 |
YTD |
17.56 %
|
Kürzel | ELTE |
Bloomberg | ELTE GR |
ISIN | DE000A3GN5J9 |
AUM | $5.07 M |
NAV | 7.29 |
YTD |
5.12 %
|
Kürzel | ELTC |
Bloomberg | ELTC FP |
ISIN | DE000A3GN5J9 |
AUM | $5.07 M |
NAV | 7.29 |
YTD |
5.12 %
|
Kürzel | ELTC |
Bloomberg | ELTC GR |
ISIN | DE000A3GN5J9 |
AUM | $5.07 M |
NAV | 7.29 |
YTD |
5.12 %
|
Kürzel | ELTC |
Bloomberg | ELTC AV |
ISIN | DE000A3GN5J9 |
AUM | $5.07 M |
NAV | 7.29 |
YTD |
5.12 %
|
Kürzel | ELTC |
Bloomberg | ELTC NA |
ISIN | DE000A3GN5J9 |
AUM | $5.07 M |
NAV | 7.29 |
YTD |
5.12 %
|
Kürzel | ELTC |
Bloomberg | ELTCCHF SW |
ISIN | DE000A3GN5J9 |
AUM | $5.07 M |
NAV | 7.29 |
YTD |
5.12 %
|
Kürzel | ELTC |
Bloomberg | ELTCGBP SW |
ISIN | DE000A3GN5J9 |
AUM | $5.07 M |
NAV | 7.29 |
YTD |
5.12 %
|
Kürzel | GXRQ |
Bloomberg | GXRQ GR |
ISIN | DE000A3GYNB0 |
AUM | $1.80 M |
NAV | 6.97 |
YTD |
-23.10 %
|
Kürzel | GXRP |
Bloomberg | GXRP GR |
ISIN | DE000A3GYNB0 |
AUM | $1.80 M |
NAV | 6.97 |
YTD |
-23.10 %
|
Kürzel | GXRP |
Bloomberg | GXRP SE |
ISIN | DE000A3GYNB0 |
AUM | $1.80 M |
NAV | 6.97 |
YTD |
-23.10 %
|
Kürzel | RDAN |
Bloomberg | RDANCHF SW |
ISIN | DE000A3GVKY4 |
AUM | $1.46 M |
NAV | 2.09 |
YTD |
-29.00 %
|
Kürzel | RDAM |
Bloomberg | RDAM GR |
ISIN | DE000A3GVKY4 |
AUM | $1.46 M |
NAV | 2.09 |
YTD |
-29.00 %
|
Kürzel | RDAN |
Bloomberg | RDAN GR |
ISIN | DE000A3GVKY4 |
AUM | $1.46 M |
NAV | 2.09 |
YTD |
-29.00 %
|