Composizione Vanguard FTSE Developed ex North America High Dividend Yield Index ETF - CAD

ETF

VIDY

CA92202A1003

Mercato chiuso - Toronto S.E. 21:59:30 01/05/2024 Variaz. 5gg Var. 1 gen.
30,33 CAD -0,20% Grafico intraday di Vanguard FTSE Developed ex North America High Dividend Yield Index ETF - CAD -0,43% +7,29%

Composizione del Vanguard FTSE Developed ex North America High Dividend Yield Index ETF - CAD

Peso
3.581 JPY -0,67%+1,99%+38,24%2.67%
2.848 GBX +1,01%-1,64%+10,73%2.64%
89,1 CHF +0,06%+0,07%+4,87%2.54%
219,6 CHF -0,43%-4,48%-10,27%2.45%
42,38 AUD +0,14%-6,86%-15,93%2.11%
708,6 GBX +1,60%+6,04%+11,41%1.92%
66,61 EUR -2,89%-1,90%+8,15%1.82%
174,7 EUR -0,67%-0,49%+2,68%1.70%
115 AUD +0,95%+0,37%+2,86%1.57%
4.161 GBX +0,51%+7,69%+9,42%1.48%
91,78 EUR -1,40%+3,29%+2,24%1.31%
267,6 EUR +0,39%-1,22%+10,44%1.29%
1.554 JPY -0,61%-0,03%+28,27%1.21%
510,9 GBX +0,29%-2,35%+9,58%1.21%
21,74 EUR +1,14%-0,18%-0,18%0.99%
5.422 GBX -0,07%+2,07%-7,10%0.99%
11,64 EUR +1,16%+0,65%-2,15%0.95%
441,9 CHF -0,52%-2,58%+0,57%0.91%
1.700 GBX -0,28%+2,92%+17,17%0.90%
461,6 GBX +0,05%-1,43%-2,18%0.90%
67,19 EUR -0,62%-1,26%+7,35%0.88%
4,562 EUR -0,24%-3,91%+20,70%0.81%
34,28 AUD +1,45%+1,30%+11,66%0.80%
2.358 GBX +0,36%-0,04%+2,77%0.79%
110 EUR -0,23%-1,39%-3,30%0.76%
8.870 JPY -1,38%+0,94%+28,92%0.75%
71,22 EUR +0,40%-3,79%+13,89%0.72%
32,03 EUR -1,26%-8,25%+8,65%0.70%
6,263 EUR +1,33%+2,34%-6,94%0.70%
412,6 EUR +0,08%-5,20%+9,94%0.69%
7.681 JPY +1,63%+5,28%+44,98%0.68%
26,03 AUD +0,93%+0,23%+13,67%0.66%
7.331 JPY +2,80%+10,08%+27,12%0.66%
9,882 EUR -2,88%-7,39%+20,01%0.66%
15,72 EUR +5,75%+0,65%+16,09%0.66%
28,23 AUD +0,53%-0,84%+8,91%0.65%
3.544 JPY -2,48%+1,37%+57,27%0.65%
1.783 JPY -0,25%+1,05%+21,62%0.61%
20,02 EUR -4,14%-14,24%-5,50%0.61%
1.067 GBX +1,11%+0,52%+0,66%0.60%
4.422 JPY +0,43%+0,84%-1,43%0.60%
48,69 EUR -0,95%-4,77%-0,28%0.58%
34,75 EUR +0,49%-1,70%+41,38%0.57%
39,5 EUR +0,60%+0,85%-12,21%0.57%
5.050 JPY +1,55%+5,01%+43,10%0.56%
35,55 SGD +1,86%+2,69%+17,05%0.56%
42,52 EUR -0,77%-7,76%+7,68%0.56%
188 AUD +1,16%-0,46%+2,38%0.55%
3,554 EUR +0,78%+0,94%+34,39%0.55%
66,48 AUD +0,71%+1,87%+16,55%0.54%
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Rating degli ETF

Descrizione

Codice ISIN CA92202A1003
Spese di gestione (TER) 0.31%
Categoria di attività
Settore
Dimensione
Valuta
Società di gestione
Sottostante FTSE Developed ex North America High Dividend Yield Net Tax Index - CAD

Caratteristiche

Giurisdizione
Struttura del fondo
Metodo di replica
Modello di replica
Data di creazione
21/08/2018
Politica dei dividendi
Fattore
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 28/03/2024 )

AuM (EUR) 107 M€
AuM 1 mese 91 M€
AuM 3 mesi 75 M€
AuM 6 mesi 70 M€
AuM 12 mesi 56 M€
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