Altre lingue Invesco S&P/TSX Composite Low Volatility Index ETF - CAD

ETF

TLV

CA46139Y1025

Mercato chiuso - Toronto S.E. 21:59:59 19/06/2024 Variaz. 5gg Var. 1 gen.
29 CAD -0,48% Grafico intraday di Invesco S&P/TSX Composite Low Volatility Index ETF - CAD -2,09% +1,83%
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces May 2013 Distribution, Payable on June 7, 2013
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces April 2013 Distribution, Payable on May 7, 2013
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces March 2013 Distribution, Payable on April 5, 2013
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces February 2013 Distribution, Payable on March 7, 2013
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces January 2013 Distribution Payable on February 7, 2013
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces December 2012 Distribution Payable on January 8, 2013
PowerShares S&P/TSX Composite Low Volatility Index ETF Declares November 2012 Distribution, Payable on December 7, 2012
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces Monthly Cash Distribution Payable on November 7, 2012
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces Monthly Dividend Payable on October 5, 2012
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces Distribution for the Month of August 2012, Payable on September 10, 2012
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces Distribution for the Month of July 2012, Payable on August 8, 2012
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces Distribution for the Month of June 2012, Payable on July 9, 2012
PowerShares S&P/TSX Composite Low Volatility Index ETF Announces Distribution for the Month of May 2012, Payable on June 7, 2012

Rating degli ETF

Descrizione

Codice ISIN CA46139Y1025
Spese di gestione (TER) 0.32%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante S&P/TSX Composite Low Volatility Total Return Index - CAD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
24/04/2012
Politica dei dividendi
Fattore
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 57 M€
AuM 1 mese 56 M€
AuM 3 mesi 61 M€
AuM 6 mesi 99 M€
AuM 12 mesi 114 M€