Einzelwerte Purpose Enhanced Dividend Fund ETF - CAD Hedged

ETF

A3DZMU

CA74640V1022

PDIV

Verzögert Toronto S.E. 18:59:18 18.04.2024 % 5 Tage % 1. Jan.
9.22 CAD 0.00% Intraday Chart für Purpose Enhanced Dividend Fund ETF - CAD Hedged -2.54% -2.02%

Zusammensetzung des Purpose Enhanced Dividend Fund ETF - CAD Hedged

Kurs
%
% 5 Tage
% 1 Jahr
Gewichtung
31.56 CAD +0.38%-2.77%+20.51%2,93%
70.99 USD +0.37%-1.55%+3.28%2,69%
46.41 CAD +1.13%-1.82%-13.28%2,53%
78.6 CAD +0.41%-0.63%-5.67%2,47%
64.04 CAD -0.28%-4.40%-7.27%2,45%
47.31 CAD +0.64%-1.50%+6.17%2,41%
64.67 CAD -0.87%-2.79%+5.44%2,40%
165.8 USD +0.93%-0.79%+4.14%2,39%
48.55 CAD +0.50%-3.46%-13.11%2,24%
72.05 CAD +1.02%-3.55%-27.21%2,20%
110.5 CAD +0.09%-1.49%+11.66%2,13%
118.3 USD -0.25%-2.57%+1.48%2,06%
44.36 CAD -0.14%-1.16%-30.54%2,05%
37.62 CAD -0.19%-1.13%-5.76%2,03%
64.99 CAD +0.29%-2.31%+11.78%1,98%
1’271 USD -0.94%-7.76%+101.68%1,94%
63.32 USD +1.32%+3.11%+11.04%1,91%
156.4 USD +0.31%+0.46%+3.53%1,88%
133.3 CAD -0.02%-2.91%-0.77%1,88%
124.8 USD -0.49%-0.90%+8.87%1,87%
125.2 CAD -0.02%-3.42%+1.37%1,81%
69.42 CAD +0.38%-1.87%+6.84%1,74%
66.14 USD -1.17%-3.71%-21.10%1,68%
455.1 USD -0.21%+0.70%-9.16%1,59%
47.96 USD +0.35%-3.14%-4.64%1,56%
25.99 USD +1.68%-4.44%-27.14%1,42%
36.31 CAD +0.75%-0.38%+2.51%1,34%
175 CAD +0.03%-1.21%+6.51%1,32%
46.35 CAD -0.02%-2.28%-19.85%1,31%
170.8 USD +0.78%+1.53%-7.52%1,23%
220.8 CAD +0.50%+0.75%+10.63%1,22%
52.58 CAD +0.76%-1.87%-19.54%1,15%
156.9 USD +0.30%-2.90%-7.82%1,15%
269 USD -0.37%+0.44%-7.25%1,11%
127.8 USD -0.40%-3.54%+22.17%1,07%
166.8 USD -0.71%-4.57%+0.34%1,03%
65.7 CAD -0.27%-6.39%-10.38%0,98%
34.67 USD +0.20%-3.05%-10.15%0,92%
176 CAD -0.82%-0.49%-0.36%0,76%
8.975 CAD +1.53%+1.24%+28.88%0,76%
21.77 CAD +0.37%-1.67%-23.30%0,72%
845.3 USD +0.59%-6.00%+207.88%0,71%
144.4 USD -0.28%-2.87%-10.24%0,60%
181.1 USD -1.07%-2.20%+42.28%0,50%
47.87 USD +0.06%-2.42%-31.75%0,47%
86.44 USD -0.35%+0.58%+14.51%0,44%
58.7 USD +0.32%-0.54%-7.60%0,42%
163.6 USD -1.24%-4.01%-8.87%0,27%
16.18 USD +0.40%-1.34%-18.26%0,26%

Beschreibung

ISIN Code CA74640V1022
Verwaltungsgebühren 0.78%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Erstellungsdatum
18.10.2017
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 27.03.2024 )

Volumen (EUR) 19 M€
Volumen 1M 17 M€
Volumen 3M 16 M€
Volumen 6M 15 M€
Volumen 12M 12 M€
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