Leverage Shares 3x Long NIO ETP logo

Leverage Shares 3x Long NIO ETP (NOS3)

Delisted
14 May 2026
XETRA XETRA
21. 49
-1.11
-4.9106%
- Market Cap
- Div Yield
511 Volume
22.6
Previous Close
Day Range
21.16 21.49
Year Range
10.29 87.84
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Summary

This company has been delisted from its primary exchange and is no longer publicly traded.
As a result, real-time price data, dividend updates, and corporate disclosures may no longer be available.

NOS3 Chart

Leverage Shares 3x Long NIO ETP (NOS3) FAQ

What does "Delisted" mean?

Leverage Shares 3x Long NIO ETP has been removed from the exchange and is no longer publicly traded.

What was the last recorded dividend?

No dividend payments were recorded prior to delisting.

How long did the company pay dividends?

The company did not have a dividend payment history.

Were there any stock splits?

No stock splits were recorded prior to delisting.

What was the last known trading price?

The stock last traded at €21.49 on May 14, 2026 before being delisted.

Leverage Shares 3x Long NIO ETP Profile

XETRA Exchange
Germany Country
Leverage Shares 3x Long NIO ETP is an Exchange Traded Product designed to magnify the investment exposure to NIO Inc., a leading electric vehicle manufacturer. The primary function of this ETP is to provide investors with three times the daily performance of NIO's stock price, offering a leveraged opportunity to capitalize on short-term price movements. This specific ETP is tailored for sophisticated investors who are able to closely monitor and manage their exposures, as leveraged products can lead to significant gains but also carry substantial risk due to their volatility. NIO operates in the rapidly growing electric vehicle sector and is pivotal in the global shift towards sustainable transportation solutions. Hence, this ETP appeals to those interested in the dynamics of the EV market but seeking amplified returns. Due to its leverage component, it plays a specialized role in financial markets aimed at short-term trading strategies rather than long-term holding, requiring a nuanced understanding of both the underlying asset and market conditions.

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