Composizione Invesco FTSE RAFI Global Small-Mid ETF - CAD

ETF

PZW

CA46140D1050

Mercato chiuso - Toronto S.E. 20:46:15 01/05/2024 Variaz. 5gg Var. 1 gen.
32,51 CAD +0,84% Grafico intraday di Invesco FTSE RAFI Global Small-Mid ETF - CAD +0,77% +3,63%

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

Peso
92,98 USD +0,88%-0,55%+93,59%0.26%
782,7 USD +2,65%-8,72%+175,35%0.26%
121,7 USD +4,44%+44,31%+129,83%0.23%
34,93 USD +1,42%+4,80%-28,92%0.19%
2,21 USD +9,14%+3,27%-50,67%0.19%
22,39 USD +5,96%+6,32%-14,12%0.17%
75,07 USD +3,59%+1,69%+88,38%0.17%
16,73 USD +2,76%+2,32%-7,21%0.16%
125,8 EUR +0,32%-1,18%-7,84%0.15%
73,2 USD +4,26%+3,46%+57,76%0.15%
16.640 JPY +0,85%+2,59%+39,48%0.15%
7,49 USD +4,17%+7,61%+28,69%0.15%
113,8 USD -0,42%-13,85%+15,09%0.14%
400,1 USD -1,45%-6,70%-8,70%0.14%
94,11 USD -0,04%-2,72%+57,64%0.14%
83,89 USD +2,06%-2,15%-16,55%0.14%
332,8 USD +2,87%-3,24%-1,81%0.13%
2,62 USD +8,26%+7,82%-29,95%0.13%
27,7 USD +2,55%-2,64%-18,02%0.13%
181 USD +1,59%+4,29%-8,55%0.13%
52,23 USD +2,07%-0,59%+18,22%0.13%
104,9 USD +1,39%-2,71%+21,15%0.13%
157,8 USD +3,04%+5,21%+1,41%0.13%
12,49 USD +1,96%+3,48%-7,62%0.13%
189.000 KRW +0,80%+7,02%-6,20%0.12%
296,2 USD +0,30%+1,64%+0,45%0.12%
40,41 USD -0,22%+18,99%+9,10%0.12%
83,27 USD +1,66%+5,65%-8,64%0.12%
111,1 USD +0,72%+5,35%+10,74%0.12%
3.780 JPY +2,86%-3,13%+17,54%0.11%
23,32 USD +3,44%+3,57%+35,85%0.11%
114,5 CAD +0,06%+2,43%+7,65%0.11%
175,8 USD +3,03%-2,88%+0,46%0.11%
19,59 CAD -2,20%-5,68%+13,90%0.11%
5.613 JPY -0,07%-2,14%-9,73%0.11%
163,4 USD +0,70%-3,04%+12,83%0.11%
5.894 JPY +0,07%-0,56%-11,55%0.11%
261,1 USD +1,63%+1,72%+28,73%0.11%
1.631 USD +8,27%+15,97%+3,76%0.11%
103,6 USD +3,74%+23,38%+46,38%0.11%
315 USD +2,38%+4,31%+53,17%0.11%
51,58 USD -0,54%+3,68%-8,11%0.11%
27,46 USD -1,89%-4,92%-0,94%0.11%
179,2 USD +2,89%+2,15%-5,84%0.11%
35,71 USD +2,06%-4,29%+17,31%0.11%
65,65 USD -2,55%+5,55%+5,17%0.11%
85,33 USD +9,96%+10,33%+3,26%0.11%
62,07 USD +2,52%+5,47%-16,10%0.11%
7,16 USD +0,85%+3,62%-28,04%0.11%
704f6b78b3ba27aef594e8be93b107a.3hN9h9ZogGg7FYu5XzkuCTfdXQ4Rm3QyU2jiIBWFjgU.j0ws75Rb0RhCQMDaF15kQkKHH3916BgfA1iwEk28yUS_a07y5AzqAnx6wg

Descrizione

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

Caratteristiche

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

Distribuzione

Investitore individuale

Evoluzione AuM ( 28/03/2024 )

AuM (EUR) 12 M€
AuM 1 mese 12 M€
AuM 3 mesi 13 M€
AuM 6 mesi 59 M€
AuM 12 mesi 62 M€
  1. Borsa valori
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