Einzelwerte Purpose Tactical Hedged Equity Fund ETF - CAD Hedged

ETF

A118N2

CA74639Y2087

PHE

Markt geschlossen - Toronto S.E. 20:58:15 15.04.2024 % 5 Tage % 1. Jan.
32.72 CAD -0.70% Intraday Chart für Purpose Tactical Hedged Equity Fund ETF - CAD Hedged -1.59% 0.00%

Zusammensetzung des Purpose Tactical Hedged Equity Fund ETF - CAD Hedged

Gewichtung
166.8 USD +0.59%-1.51%-13.35%7,72%
407.1 USD +1.52%-1.82%+8.25%6,76%
158.3 USD +1.27%+2.51%+13.30%4,65%
745.7 USD +1.96%-0.14%+27.92%2,43%
274.1 USD +0.66%+1.02%+5.29%2,29%
338.9 USD +0.84%+1.22%-2.20%2,21%
121 USD +0.39%+1.97%+21.05%2,15%
161.5 USD +0.60%+3.56%+10.21%1,99%
661.3 USD +5.09%+0.82%+15.33%1,74%
38.37 USD +1.70%+10.64%+13.96%1,70%
575.1 USD +4.87%+3.71%+8.35%1,69%
193.2 USD +2.00%-7.75%+19.23%1,63%
766.6 USD +0.86%+2.26%-5.57%1,62%
295.1 USD +1.35%-0.18%+20.99%1,59%
94 USD -0.20%+0.65%-13.42%1,56%
413.3 USD -0.87%+1.17%-6.17%1,55%
3’534 USD +2.05%+1.91%-0.37%1,51%
94.5 USD +0.45%+1.20%+0.74%1,50%
163.2 USD +0.52%+2.13%+1.79%1,48%
630.9 USD +3.46%+3.17%+0.94%1,45%
261.6 USD +0.73%+1.49%+8.22%1,43%
61.77 USD -1.48%+1.15%-12.43%1,41%
155.4 USD +4.43%+6.14%+16.98%1,40%
127.2 USD +0.04%+0.49%-7.05%1,39%
34.7 USD +0.23%-0.40%+0.09%1,37%
72.53 USD +1.91%-0.85%+22.74%1,34%
328 USD +0.82%+3.29%-28.36%1,33%
155.6 USD +3.01%+1.99%+4.41%1,31%
114.3 USD +2.18%+1.54%+15.30%1,27%
319.4 USD +2.94%+1.76%+18.01%1,26%
179.8 USD +1.12%+0.42%+9.07%1,26%
192.1 USD +1.41%+6.24%+12.92%1,24%
165.4 USD +1.22%-1.29%-2.96%1,18%
276.9 USD +0.48%+4.33%-6.61%1,17%
190 USD +1.98%-0.65%-4.32%1,17%
121.5 USD +0.60%-0.46%-0.16%1,09%
83.72 USD +1.95%+2.02%-22.55%1,09%
887.9 USD +2.29%-7.82%+13.36%1,08%
66.5 USD -0.31%+3.45%+8.75%1,07%
472.9 USD +1.29%-0.69%-20.73%1,06%
161.4 USD +0.74%-4.28%+11.57%1,06%
531.9 USD +0.86%+0.67%+14.88%1,00%
345.6 USD +0.09%+1.60%+10.37%1,00%
214 USD +0.48%+2.73%+34.37%1,00%
149.6 USD +2.76%-2.26%-24.22%0,99%
46.01 USD -1.18%-8.91%-6.50%0,86%
1’242 USD +3.45%+1.57%+22.82%0,83%
28.73 USD -0.17%+5.55%+0.56%0,79%
23.98 USD +1.18%-0.42%+3.63%0,75%
38.78 USD +0.31%+3.00%+11.34%0,75%
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Beschreibung

ISIN Code CA74639Y2087
Verwaltungsgebühren 0.96%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
03.09.2013
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 27.03.2024 )

Volumen (EUR) 2 M€
Volumen 1M 2 M€
Volumen 3M 2 M€
Volumen 6M 3 M€
Volumen 12M 3 M€
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