Einzelwerte Desjardins RI Emerging Markets Multifactor - Net-Zero Emissions Pathway ETF - CAD

ETF

A3DUSY

CA25060F1009

DRFE

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21.92 CAD +0.32% Intraday Chart für Desjardins RI Emerging Markets Multifactor - Net-Zero Emissions Pathway ETF - CAD +0.64% +9.71%

Zusammensetzung des Desjardins RI Emerging Markets Multifactor - Net-Zero Emissions Pathway ETF - CAD

Gewichtung
802 TWD +0.75%+2.82%+35.24%5,64%
79’200 KRW -0.63%+1.54%+0.89%3,58%
371 HKD +0.32%+2.94%+26.36%2,70%
169.5 TWD -0.59%+8.65%+62.20%1,51%
41.58 BRL +7.34%+4.24%+11.65%1,42%
1’120 INR +0.42%-1.85%+1.54%1,41%
401’000 KRW +0.75%+0.50%-19.72%1,27%
470.5 TWD -0.95%+9.67%-3.88%1,26%
13.23 MXN +0.92%-0.60%+0.08%1,25%
10.12 HKD -0.98%+11.33%-7.33%1,23%
8’847 INR +1.11%-2.90%+30.15%1,21%
15.9 USD +0.38%-3.34%-10.47%1,16%
2’798 INR +1.18%+0.16%+10.64%1,15%
13.3 TWD 0.00%-2.92%-6.99%1,11%
25.55 MXN +1.51%+4.54%-16.42%1,11%
5.09 HKD +5.38%+10.17%+24.45%1,09%
80’400 KRW +2.94%+7.20%+52.85%1,09%
4.86 HKD +4.97%+8.72%+32.07%1,06%
14’530 KRW +1.32%+3.93%+11.77%1,05%
54’500 KRW +1.68%+4.81%+8.13%1,03%
3.86 EUR +2.12%+1.87%+20.62%1,02%
97’500 KRW +4.50%+6.56%-4.22%1,02%
47.8 TWD +0.95%+5.05%-11.15%1,01%
27.45 HKD +3.78%+8.93%+1.10%1,00%
30.35 TWD +0.33%+1.00%-1.14%1,00%
114 TWD +1.79%+2.70%+15.62%0,98%
10.28 MYR -0.39%+0.78%+39.67%0,97%
5.59 CNY +0.36%+0.18%+23.40%0,97%
6.71 CNY +0.60%0.00%+19.40%0,96%
9’980 KRW -0.20%+2.04%-2.44%0,96%
7.41 CNY +1.09%+1.51%+24.12%0,95%
39’400 KRW +4.10%+5.07%+2.34%0,95%
99.5 TWD +0.71%+2.47%+13.97%0,95%
33.65 USD -0.97%-0.36%-15.24%0,94%
7.94 CNY +1.79%+3.12%+19.94%0,92%
11.85 PLN +3.31%+18.76%-3.89%0,91%
105 TWD +3.96%+5.32%-10.26%0,90%
3.91 CNY +0.51%-1.01%+4.55%0,90%
36.4 TWD +0.41%+3.70%-8.66%0,89%
27.6 EUR -0.72%-8.00%+9.87%0,88%
58.7 CLP +0.55%+4.00%+3.00%0,85%
1’264 INR -0.37%+1.12%-0.65%0,84%
5.64 HKD +6.82%+9.94%+21.29%0,83%
3.74 HKD +5.06%+10.00%+24.25%0,82%
1’726 CLP -1.32%+1.81%+4.29%0,82%
326’500 KRW +3.32%+8.47%+24.14%0,80%
10.28 HKD +4.47%+11.38%+10.78%0,79%
09caa3931905cc81b8a53.tBsdhJrhYgPx6gNLpUMAA2kAPR9hqBDEZTjlYEg2VlM.wkFewsmLKmG3tVIh425fRTlTamVZ2ySiUU6QUiYFPBD7cVLmrLs3YbarQg

Beschreibung

ISIN Code CA25060F1009
Verwaltungsgebühren 0.65%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
07.03.2019
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 30.04.2024 )

Volumen (EUR) 0 M€
Volumen 1M 0 M€
Volumen 3M 0 M€
Volumen 6M 0 M€
Volumen 12M 0 M€
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