Einzelwerte CI WisdomTree Emerging Markets Dividend Index ETF - CAD

ETF

A3DS4C

CA17165Y1007

EMV.B

Markt geschlossen - Toronto S.E. 17:03:43 26.04.2024 % 5 Tage % 1. Jan.
28.12 CAD +0.97% Intraday Chart für CI WisdomTree Emerging Markets Dividend Index ETF - CAD -0.64% +7.70%

Zusammensetzung des CI WisdomTree Emerging Markets Dividend Index ETF - CAD

Gewichtung
5.5 MYR -0.18%+0.36%+0.92%0,10%
421.6 INR +2.44%+5.70%+32.58%0,10%
65’200 KRW 0.00%+7.77%+3.00%0,10%
7.89 MYR -0.13%-1.50%+8.23%0,10%
13.86 CNY +2.14%-3.01%+0.43%0,10%
21.1 HKD +6.03%+26.05%+0.96%0,10%
99’900 KRW +4.17%+14.17%+19.35%0,10%
82.3 BRL +1.17%-2.59%+9.19%0,10%
108.8 SAR +0.18%-6.04%-21.27%0,10%
45.9 TWD -0.43%-2.13%+2.23%0,10%
13’850 KRW +2.14%+3.75%+16.78%0,10%
6.27 MYR +0.32%+2.45%+3.98%0,10%
17’710 HUF +2.79%+4.55%+12.09%0,10%
173 PLN +1.79%-6.26%+13.81%0,10%
62.24 MXN +1.12%+3.60%-7.70%0,10%
39.65 USD +1.56%+6.87%-6.55%0,10%
64.6 TWD -0.46%+3.53%-4.44%0,10%
184’000 KRW +2.22%+7.48%-3.92%0,10%
177.9 MXN +2.30%+1.73%-3.19%0,09%
31.8 TWD -0.62%-0.62%-8.75%0,09%
43’950 KRW +1.03%+1.62%+7.46%0,09%
36.1 SAR +0.14%-1.10%-9.75%0,09%
21.55 HKD -0.92%+8.40%+5.38%0,09%
3’984 INR -0.41%+6.21%+42.10%0,09%
26.2 HKD +2.34%+6.94%-9.81%0,09%
4 HKD -2.44%-1.23%+7.24%0,09%
11.48 BRL -2.30%-2.79%-13.75%0,09%
1’366 PHP +1.19%+5.08%+6.80%0,09%
2’855 INR +1.99%+7.72%+12.89%0,09%
29.72 MXN -7.41%-7.96%-21.00%0,09%
43.5 SAR -2.14%-3.55%-4.29%0,09%
3.85 ZAR +1.58%+2.94%0.00%0,09%
2’240 ZAR +3.58%+11.98%+10.53%0,09%
124.5 ZAR +0.31%-10.72%-11.34%0,09%
7.65 HKD -2.05%-9.04%+7.75%0,09%
52’000 KRW +1.36%+0.78%+3.17%0,09%
53.3 TWD +0.19%+0.57%+0.95%0,08%
5.47 HKD +1.67%+6.42%+26.33%0,08%
394 TWD +1.16%+3.55%+11.14%0,08%
77.6 TWD +3.47%+1.97%+9.76%0,08%
6.11 MYR 0.00%+0.66%+10.09%0,08%
14.76 BRL +1.37%+2.36%-23.76%0,08%
71.5 TWD +1.85%+1.42%+9.66%0,08%
129.4 ZAR -0.56%-6.33%-15.86%0,08%
16.33 BRL +2.00%+5.02%+26.59%0,08%
36.05 TWD +1.26%+2.12%+16.67%0,08%
1.79 THB 0.00%+0.56%+7.19%0,08%
106.5 TWD -0.47%0.00%+8.01%0,08%
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ETF Ratings

Beschreibung

ISIN Code CA17165Y1007
Verwaltungsgebühren 0.46%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft
Basiswert WisdomTree Emerging Markets Dividend Net Total Return Index - CAD

Merkmale

Gerichtsstand
Replikationsmethode
Replikationsmodell
Erstellungsdatum
19.09.2017
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 28.03.2024 )

Volumen (EUR) 29 M€
Volumen 1M 30 M€
Volumen 3M 31 M€
Volumen 6M 40 M€
Volumen 12M 44 M€
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