Fund access
You can buy or sell units of EasyETF trackers throughout the trading day via your regular financial intermediary (bank, e-broker, financial adviser, etc.).
EasyETF trackers are bought and sold at known prices by placing orders with your regular financial intermediary (bank, e-broker, financial adviser, etc.) throughout the trading day, i.e. from 9.05 a.m. to 5.35 p.m. on Euronext Paris.
All you have to do is indicate the name of the EasyETF tracker you are interested in, its code (ISIN or symbol) and the desired quantity (be sure to specify whether you are buying or selling).
The types of orders permitted are the same as for equities: limit orders, stop orders and market orders (for faster execution). Your financial intermediary then places your order in the electronic order book for execution.
Institutional investors can also use a special execution table, such as BNP Paribas’ execution desk, which can provide them with greater volumes at reduced fees by going through a market maker.
Only conventional brokerage and exchange fees are charged on buying and selling EasyETF trackers (the latter are minimal and are usually included in the brokerage fees). There are no front-end or back-end loads on EasyETF trackers, and the management fees are low (between 0.15% and 0.85%). The management fees are withdrawn daily from the net asset value by the investment company.
Feel free to contact our fund promoters :
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