Composizione CI First Asset Morningstar International Value Index ETF (CAD Hedged) - CAD

ETF

VXM

CA12555N1033

Mercato chiuso - Toronto S.E. 20:55:39 22/04/2024 Variaz. 5gg Var. 1 gen.
33,39 CAD +1,99% Grafico intraday di CI First Asset Morningstar International Value Index ETF (CAD Hedged) - CAD 0,00% +13,46%

Composizione del CI First Asset Morningstar International Value Index ETF (CAD Hedged) - CAD

Peso
6.898 JPY -0,16%+6,06%+19,61%0.50%
4.575 JPY +0,44%+0,55%-2,76%0.50%
2.628 JPY +1,00%+0,27%+14,84%0.50%
2.454 JPY -0,04%+1,07%+2,72%0.50%
30,34 PLN -0,30%-8,20%-27,81%0.50%
3.355 JPY +1,05%+3,87%-8,71%0.50%
124,8 EUR +0,16%-0,48%+9,67%0.50%
1.174 JPY +0,04%-3,34%+22,38%0.50%
3.637 JPY +0,14%+2,57%-7,57%0.50%
681,4 GBX -0,21%+2,19%+2,22%0.50%
43,97 EUR -1,12%+2,26%+19,71%0.50%
3.909 JPY +1,35%+5,05%+27,08%0.50%
2.603 JPY +0,74%-0,08%+6,20%0.49%
2,688 EUR +0,22%0,00%+18,94%0.49%
2.700 JPY +2,60%+4,25%+148,96%0.49%
3.529 JPY +0,92%+2,23%+56,60%0.49%
7,898 PLN -0,40%+1,46%-2,97%0.49%
3.760 JPY +0,97%+3,98%+16,70%0.49%
101,1 EUR +1,00%+0,40%+11,71%0.49%
9,72 EUR +1,67%+3,62%+20,90%0.49%
8,27 AUD -3,39%-0,12%+13,44%0.49%
3,725 EUR +3,47%+4,93%-20,13%0.49%
7,03 EUR +3,38%-4,61%-17,39%0.49%
2.169 JPY -1,36%-1,14%+24,66%0.49%
1.678 JPY +0,54%+0,30%+10,14%0.49%
2.468 JPY +2,26%+4,53%+7,96%0.49%
1.091 JPY -1,62%-8,13%+74,67%0.49%
8,375 EUR +0,78%+1,64%+62,24%0.49%
2.950 JPY +2,11%+6,50%+10,99%0.49%
1.750 JPY +0,26%+0,20%+19,41%0.49%
120,1 EUR +1,09%-0,91%+7,42%0.49%
35,75 EUR 0,00%+3,47%+15,70%0.49%
107,9 NOK +1,60%+7,90%+21,24%0.49%
0,937 EUR -0,11%+3,77%+3,59%0.49%
27,21 EUR +0,11%+1,15%-3,06%0.49%
8.928 JPY +0,56%+0,96%+38,78%0.49%
3,58 HKD 0,00%-1,10%+15,11%0.49%
549 JPY +0,42%-2,21%-0,94%0.48%
2.018 JPY +0,30%-1,75%+25,58%0.48%
1.954 JPY -1,36%+0,75%+7,30%0.48%
48,55 EUR +1,15%+1,72%+31,55%0.48%
6.660 JPY +1,99%-0,45%+27,10%0.48%
2.706 JPY +1,33%+4,18%+21,43%0.48%
74,2 EUR +2,27%-1,33%-0,08%0.48%
14,72 EUR -1,90%-1,51%+9,44%0.48%
28 EUR +0,43%+2,26%+7,63%0.48%
1.720 JPY +0,41%+1,80%+20,69%0.48%
2.530 JPY +1,44%+7,57%+26,56%0.48%
71,3 EUR +2,22%+4,55%+10,29%0.48%
1.812 GBX -0,88%+2,11%+0,28%0.48%
40ee5eeec.aAjLSywBC7kEkNrhbbn0_lniadrDtP9JdgtLZ3iKcC4.AGu8BVtUffJJyY_QAeyGixqvX765wpsRQ08aEhfjFVYtMYF_WUlu3l6jiw

Rating degli ETF

Descrizione

Codice ISIN CA12555N1033
Spese di gestione (TER) 0.66%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante Morningstar Developed Markets ex-North America Target Value Index Hedged NR CAD - CAD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
13/11/2014
Politica dei dividendi
Fattore
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 28/03/2024 )

AuM (EUR) 11 M€
AuM 1 mese 11 M€
AuM 3 mesi 10 M€
AuM 6 mesi 10 M€
AuM 12 mesi 9 M€
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