Composizione Invesco FTSE RAFI Global Small-Mid ETF - CAD

ETF

PZW

CA46140D1050

Mercato chiuso - Toronto S.E. 21:47:57 10/07/2024 Variaz. 5gg Var. 1 gen.
32,79 CAD +0,40% Grafico intraday di Invesco FTSE RAFI Global Small-Mid ETF - CAD +0,71% +4,53%

Composizione del Invesco FTSE RAFI Global Small-Mid ETF - CAD

Peso
35,89 USD +0,50%+6,91%+18,64%0.13%
22,53 USD +0,54%+1,58%+11,20%0.12%
18,03 USD +2,33%+19,80%-14,10%0.12%
127,7 USD +1,20%+4,88%+30,55%0.12%
17,71 USD +2,49%+5,73%+19,58%0.11%
16,02 USD +0,63%+3,96%+19,37%0.11%
52,64 USD +1,56%+9,74%+58,51%0.11%
136,2 USD +4,86%+6,40%+157,35%0.11%
15,74 USD -2,42%-1,69%+2,81%0.11%
32,34 CAD -1,16%+10,30%+49,51%0.11%
289,8 USD +0,00%0,00%+35,69%0.11%
24,13 USD +0,08%-0,33%+13,50%0.11%
7,37 USD +2,36%+1,10%+26,63%0.11%
56,69 USD +2,87%+8,56%+0,85%0.11%
34,56 USD +0,20%+1,56%+8,75%0.10%
32,2 HKD -6,26%+2,55%+38,79%0.10%
253.500 KRW -1,17%+4,97%+103,61%0.10%
321,8 USD +0,87%+6,45%+56,47%0.10%
139,2 USD -2,55%-3,00%+49,06%0.10%
28,16 EUR -0,35%+1,44%+25,16%0.10%
45,78 USD +2,42%+6,86%+21,82%0.10%
22,57 CAD -0,27%+4,49%+31,22%0.10%
237.000 KRW -1,86%+6,28%+152,40%0.10%
26,28 USD +0,31%+3,42%+23,44%0.10%
13,4 USD +1,17%+4,56%+60,92%0.10%
15,61 USD -2,56%-5,85%+18,80%0.10%
2,354 EUR +1,60%+1,25%+60,14%0.10%
111 USD +1,36%+5,90%+56,74%0.10%
10,61 USD +1,34%+11,33%+45,54%0.10%
17,92 USD +2,46%-3,76%-36,34%0.10%
178,4 USD +1,38%+5,41%+23,24%0.10%
5,74 CAD -0,52%+5,71%+71,86%0.10%
37,56 USD -0,74%+1,43%+27,02%0.10%
93,49 USD +2,47%+6,77%+31,32%0.10%
1.564 JPY -2,34%+0,97%+27,31%0.10%
42,18 USD +0,09%+8,10%+4,98%0.10%
45,45 USD +0,73%-6,40%+2,87%0.10%
203,5 USD +0,38%+0,64%+21,91%0.10%
67,56 USD +2,39%+2,43%+13,83%0.10%
14,96 USD +1,77%+0,94%+4,32%0.10%
31,34 USD +0,87%+6,13%-7,74%0.10%
104,6 USD +1,13%+5,19%+38,51%0.10%
229,5 USD +0,93%+6,82%+13,12%0.10%
137 USD +1,29%+5,92%+64,64%0.10%
51,26 USD +0,77%-2,70%-37,17%0.10%
19,6 USD +3,48%+5,77%+18,29%0.09%
11,98 USD +1,10%+2,83%-15,81%0.09%
104,2 USD -2,09%-1,38%+124,68%0.09%
42,7 USD -0,69%+10,69%-10,77%0.09%
22,05 USD +0,27%+0,32%+2,56%0.09%
42d4be4fe5039f4951156e0e93.GajSqBvki2YT8K2HMd7c1mFldfKPCjV-ZCnygUwcM0A.VMmVyi6Q3yFys-LIZpS9pDYuE77WPVMvN1-E0jh9dHZ8_YDcLdHAAV6Gxg

Descrizione

Codice ISIN CA46140D1050
Spese di gestione (TER) 0.50%
Categoria di attività Actions
Settore
Dimensione
Valuta
Società di gestione

Caratteristiche

Politica dei dividendi Distribution
Giurisdizione
Struttura del fondo
Data di creazione
06/05/2015
Fattore
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 11 M€
AuM 1 mese 11 M€
AuM 3 mesi 12 M€
AuM 6 mesi 14 M€
AuM 12 mesi 61 M€
  1. Borsa valori
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