Einzelwerte BMO International Dividend Hedged to CAD ETF - Distributing - CAD

ETF

A2DF8G

CA05581A1030

ZDH

Markt geschlossen - Toronto S.E. 21:59:30 26.04.2024 % 5 Tage % 1. Jan.
27.21 CAD +1.64% Intraday Chart für BMO International Dividend Hedged to CAD ETF - Distributing - CAD +2.83% +7.98%

Zusammensetzung des BMO International Dividend Hedged to CAD ETF - Distributing - CAD

Gewichtung
43.15 AUD -4.60%-3.32%-14.40%2,69%
5’453 GBX +1.38%+1.36%-6.66%2,64%
69.48 EUR +2.09%+3.27%+12.79%2,49%
792.2 EUR +1.83%-0.55%+7.99%2,46%
221 CHF +1.01%-0.50%-9.61%2,46%
92.7 CHF +0.67%-2.67%-4.93%2,45%
89.5 CHF -0.56%+4.64%+5.46%2,43%
3’510 JPY +0.37%-0.34%+35.50%2,36%
265.5 EUR +1.07%+0.87%+9.73%2,19%
91.23 EUR -0.43%+4.99%+1.64%2,09%
886.6 DKK +2.28%+2.36%+27.00%2,01%
4’133 GBX +1.25%+8.45%+8.76%1,97%
177.6 EUR +2.26%+2.69%+4.53%1,94%
11’988 GBX -0.32%+9.52%+13.09%1,94%
67.01 EUR -1.97%+2.41%+7.06%1,92%
6.13 EUR +1.16%+2.94%-8.92%1,82%
33.85 EUR +0.15%-0.15%+14.78%1,74%
21.85 EUR +0.83%+3.26%+0.46%1,69%
439.9 CHF -0.61%-1.90%+0.07%1,67%
120.1 EUR +1.09%-0.91%+7.42%1,65%
303.6 NOK -0.44%+1.56%-5.74%1,56%
1’552 JPY +0.06%+3.50%+28.15%1,50%
435.6 EUR +1.51%-2.09%-3.33%1,50%
858.8 EUR +3.22%+4.60%+25.98%1,45%
168.2 JPY -0.71%+0.18%-2.38%1,34%
174 EUR +2.23%+4.95%+24.75%1,33%
11.61 EUR +1.31%+2.38%-2.19%1,28%
14.91 EUR +1.47%-2.10%+10.23%1,25%
1’653 GBX +0.76%+3.38%+13.98%1,21%
14.27 SGD -0.42%+4.24%+9.77%1,16%
28.26 AUD -1.09%-3.88%-9.01%1,12%
48.82 EUR -4.25%-3.20%+0.09%1,09%
1’048 GBX +0.14%+0.82%-0.90%1,09%
127.9 SEK +0.51%+1.03%+2.55%1,06%
217.4 EUR +2.81%+4.29%+19.57%1,03%
54 HKD +4.75%+14.41%-20.65%1,00%
45.34 EUR +1.43%+3.66%+14.99%0,98%
7’519 JPY +1.86%+5.53%+41.92%0,92%
2’776 GBX +0.62%-2.13%-2.80%0,90%
8’787 JPY -0.10%+2.94%+27.72%0,89%
4’380 JPY +0.76%+3.01%-2.36%0,88%
10’330 DKK +6.17%+7.96%-14.91%0,85%
6’898 JPY -0.16%+6.06%+19.61%0,85%
72.85 HKD +1.18%+4.07%-13.74%0,84%
30.41 SGD -0.36%+1.60%+6.89%0,84%
25.06 CHF +0.40%-2.49%-3.98%0,84%
4’089 JPY -0.02%+0.49%+0.86%0,82%
99.5 CHF 0.00%+1.41%+5.22%0,79%
1’750 JPY +0.26%+0.20%+19.41%0,78%
281.3 SEK +1.52%+0.39%+7.49%0,75%
5642f0235ef1efe2d1055b1de78601a.vloosh17vMAYKhKeqPdfUK-75I98tvo54GilcY7pVec.5ABjxU0o9PlHenfBmsAeNeziu8EI_ZN9pDfAANrcOtbyDRz2dDLG8ipSRw

Beschreibung

ISIN Code CA05581A1030
Verwaltungsgebühren 0.44%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
02.09.2015
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 149 M€
Volumen 1M 144 M€
Volumen 3M 137 M€
Volumen 6M 125 M€
Volumen 12M 164 M€
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