Composizione BMO Japan Index ETF (Hedged Units) - CAD

ETF

ZJPN.F

CA05592E2015

Mercato chiuso - Toronto S.E. 21:51:57 23/04/2024 Variaz. 5gg Var. 1 gen.
45,61 CAD +0,95% Grafico intraday di BMO Japan Index ETF (Hedged Units) - CAD 0,00% 0,00%

Composizione del BMO Japan Index ETF (Hedged Units) - CAD

Peso
3.510 JPY +0,37%-0,34%+35,50%5.17%
12.770 JPY +0,08%+1,92%-4,77%2.89%
1.552 JPY +0,06%+3,50%+28,15%2.44%
5.906 JPY -6,37%-3,64%-0,19%2.04%
69.610 JPY +7,79%+11,20%+12,06%2.03%
34.230 JPY +1,88%+2,09%+35,54%2.03%
13.475 JPY +1,81%+1,09%+32,50%1.65%
168,2 JPY -0,71%+0,18%-2,38%1.63%
8.787 JPY -0,10%+2,94%+27,72%1.57%
6.641 JPY +1,92%+8,67%+11,37%1.54%
3.529 JPY +0,92%+2,23%+56,60%1.46%
7.649 JPY +3,28%+2,60%+3,94%1.45%
7.519 JPY +1,86%+5,53%+41,92%1.40%
5.010 JPY +5,12%+8,07%+29,39%1.32%
1.750 JPY +0,26%+0,20%+19,41%1.30%
6.898 JPY -0,16%+6,06%+19,61%1.27%
4.380 JPY +0,76%+3,01%-2,36%1.22%
4.902 JPY +1,98%+5,69%+38,91%1.18%
7.782 JPY +2,35%+1,75%+23,66%1.10%
21.160 JPY +3,73%+10,12%-7,94%1.09%
4.089 JPY -0,02%+0,49%+0,86%1.09%
18.340 JPY +0,19%+5,89%+4,06%1.08%
2.998 JPY 0,00%+1,90%+24,27%1.07%
41.390 JPY -0,36%+2,15%+18,29%1.02%
4.654 JPY +1,04%+2,38%-11,37%1.02%
2.867 JPY +1,59%+7,10%-4,21%0.97%
1.878 JPY +1,57%+3,33%+6,76%0.86%
2.040 JPY -0,51%+2,20%+9,36%0.75%
80.730 JPY +3,50%+5,25%+6,56%0.73%
2.426 JPY -2,30%-0,92%+14,01%0.71%
4.177 JPY +0,51%+2,58%+14,60%0.70%
4.528 JPY +1,64%+6,17%+9,19%0.69%
2.393 JPY -0,17%-2,64%+19,71%0.69%
2.757 JPY -1,06%-2,22%+29,62%0.66%
2.706 JPY +1,33%+4,18%+21,43%0.66%
4.214 JPY +3,64%-3,15%+16,41%0.64%
3.909 JPY +1,35%+5,05%+27,08%0.64%
5.389 JPY +0,88%-1,73%+12,34%0.63%
4.852 JPY -0,16%-1,40%-9,17%0.60%
3.566 JPY -0,64%+0,28%-0,50%0.59%
2.610 JPY +0,50%+2,84%+12,96%0.58%
4.264 JPY -1,68%-2,04%+15,62%0.58%
6.725 JPY +0,21%+0,49%+15,15%0.56%
1.338 JPY +0,98%-1,55%-4,19%0.55%
1.570 JPY +3,63%-0,06%+36,16%0.55%
1.506 JPY +3,51%+1,72%-10,68%0.54%
3.188 JPY +0,22%+2,48%+20,03%0.53%
2.540 JPY +0,22%+5,97%-0,37%0.53%
46.010 JPY -2,27%-7,61%+31,53%0.52%
2.878 JPY -0,09%+0,70%+6,21%0.51%
1ef6899046e78d4f0.EHkWkjLnHy7BK-yBhuzfD3_baf509Iiz99FL79mxqD8.Si1UpHS3b1SXcb3o5YnrVyiSALkWjLD0vroftpPHzWhKLVT2Qa9bavZc2A

Descrizione

Codice ISIN CA05592E2015
Spese di gestione (TER) 0.40%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante Solactive GBS Japan Large & Mid Cap Hedged to CAD NTR Index - CAD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
17/01/2022
Politica dei dividendi
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 28/03/2024 )

AuM (EUR) 6 M€
AuM 1 mese 5 M€
AuM 3 mesi 1 M€
AuM 6 mesi 4 M€
AuM 12 mesi 1 M€
  1. Borsa valori
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