ETF Library//XCS3

Xtrackers MSCI Malaysia UCITS ETF 1C

ISIN: LU0514694370·accumulating·USD
XCS3
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TER
0.5%
AUM
€51M
1Y Return
+24.4%
5Y Return
+38.3%
Sharpe 1Y
2.06
Volatility 1Y
10.91%
Domicile
LU
Inception
2010-06
# Identification
1ISIN
LU0514694370
2Ticker
XCS3
3Currency
USD
4Domicile
LU
5Replication
full replication
Characteristics
6TER
0.5%
7AUM
€51M
8Dividends
accumulating
9Asset class
10Benchmark
11Inception
2010-06-24
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Historical Returns
Period6M1Y3Y5Y10YMax
Total Return+3.41%+24.41%+45.10%+38.33%
CAGR+6.94%+24.41%+13.21%+6.70%N/DN/D
Volatility10.91%12.01%N/DN/DN/D
Sharpe ratio2.060.84N/DN/DN/D
Max Drawdown-4.35%N/DN/DN/D-33.01%
Calendar Year Returns
2021
+0.4%
2022
-0.4%
2023
-7.4%
2024
+27.9%
2025
+1.8%
# Style Box
Value
Blend
Growth
Large
Mid
Small
↕ Market cap↔ Investment style
Inferred from:
Risk Metrics
Volatility 1Y
10.91%
annualized
Volatility 3Y
12.01%
annualized
Sharpe 1Y
2.06
risk-adjusted
Sharpe 3Y
0.84
risk-adjusted
Max Drawdown
-33.01%
all-time
Drawdown 1Y
-4.35%
past 12 months
What if you had invested in XCS3?
% allocated to this ETF10%
1%50%100%
Loading…
Forward projection
Monthly contribution€500
€50€5k
Time horizon20 yrs
1y40y
Expected return/yr6.7%
1%5Y CAGR: 6.7%20%
Inflation/yr2.5%
0%10%
Contributed
€120.0k
€500/mo × 20y
Portfolio in 20y
€251.3k
+€131.3k gains · €187.7k real
Time bought
€0€62.8k€125.7k€188.5k€251.3k0y10y20y
Contributions only
Historical avg (6.7%/yr)
Expected (6.7%/yr)
Assumes 6.7% annual return · 2.5% inflation · compounded monthly

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