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Invesco CoinShares Global Blockchain UCITS ETF

Why invest in this sector?

Invesco CoinShares Global Blockchain UCITS ETF Acc invests in stocks with a focus on blockchain, technology, world. Dividends in the fund are reinvested (accumulated).

 

The total cost ratio is 0.65% pa. The fund replicates the performance of the underlying index by purchasing a selection of the most important components of the index (sampling technique). Invesco CoinShares Global Blockchain UCITS ETF Acc is a large ETF with 578 million euros in assets under management. The ETF is over 3 years old and domiciled in Ireland.

Sectoral mood
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Geographical location
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Target markets

Documents to download

Client category

Non-Professional Investor, Professional Investor, Eligible Counterparty

Knowledge and experience

Basic Investor, Informed Investor, Experienced Investor

Investment horizon

<5 years

Investment objective

Grow

Ability to bear losses

Yes

Risk tolerance

7

Communication of key information for the investor

Characteristics

The communication is not a proposal by Imperium Finance s.r.o. to conclude a contract. Investment instruments are associated with the risk of fluctuations in the current value of the invested amount and its return is not guaranteed. Revenues are reported in gross values. The communication contains information about past performance, which is not a reliable indicator of future results. In order to obtain net income values, the investor must take into account the fees charged by Imperium Finance according to the valid price list and any taxation, which depends on the personal circumstances of the investor and may change. Imperium Finance cautions investors with a different domestic currency that returns may rise or fall due to fluctuations in exchange rates. The communication is only informative, it does not replace the fund's status or key information communication (KIID). Imperium Finance points out that the target market was not taken into account in the message - you may be outside the target market, or even in the negative target market of the listed investment instruments.

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