Einzelwerte Purpose Tactical Hedged Equity Fund ETF - CAD

ETF

A118N9

CA74640M1023

PHE.B

Markt geschlossen - Toronto S.E. 17:49:02 30.04.2024 % 5 Tage % 1. Jan.
36.22 CAD +0.58% Intraday Chart für Purpose Tactical Hedged Equity Fund ETF - CAD +1.51% +7.29%

Zusammensetzung des Purpose Tactical Hedged Equity Fund ETF - CAD

Gewichtung
183.4 USD +5.98%+8.32%-4.75%7,72%
406.7 USD +2.22%+0.08%+8.14%6,76%
167.2 USD +0.37%-2.74%+19.72%4,65%
735 USD -2.77%+0.20%+26.08%2,43%
268.5 USD +0.32%-2.20%+3.12%2,29%
342.8 USD +2.18%+2.32%-1.07%2,21%
116 USD -0.21%-1.66%+16.02%2,15%
164.5 USD +0.38%+1.97%+12.23%1,99%
666.7 USD +0.31%-3.49%+16.26%1,74%
37.24 USD +0.98%-1.56%+10.60%1,70%
572.4 USD +0.20%-0.21%+7.84%1,69%
204.1 USD +3.12%+0.35%+25.93%1,63%
763.9 USD +0.91%+0.14%-5.90%1,62%
319.3 USD +0.79%+4.85%+30.91%1,59%
92.15 USD -0.28%-2.09%-15.12%1,56%
425.2 USD +1.97%+2.26%-3.48%1,55%
3’577 USD +3.01%+1.60%+0.85%1,51%
95.11 USD +0.21%-1.30%+1.39%1,50%
164.6 USD -0.19%+0.39%+2.66%1,48%
629.3 USD +2.48%-1.14%+0.68%1,45%
256.1 USD +0.79%-1.52%+5.93%1,43%
63.33 USD +0.27%+4.63%-10.22%1,41%
149.2 USD +0.03%-4.28%+12.33%1,40%
129.6 USD +0.82%+1.30%-5.30%1,39%
33.85 USD +0.83%-0.41%-2.37%1,37%
75.89 USD +5.55%+0.26%+28.43%1,34%
320.5 USD -0.14%+4.79%-29.98%1,33%
158.1 USD +1.86%+2.47%+6.08%1,31%
122.6 USD +1.36%+1.78%+23.72%1,27%
307.8 USD -0.35%+0.35%+13.70%1,26%
166.6 USD +1.97%-6.17%+1.01%1,26%
190.5 USD -0.60%-1.54%+12.00%1,24%
178.9 USD +1.77%+0.81%+4.96%1,18%
270.3 USD -1.09%-1.02%-8.84%1,17%
199.6 USD +1.60%-1.16%+0.54%1,17%
121.7 USD +2.70%+1.94%-0.03%1,09%
85.08 USD +0.71%+1.47%-21.29%1,09%
908.5 USD +2.81%-1.82%+15.99%1,08%
70.45 USD +0.61%+3.88%+15.21%1,07%
486.2 USD +2.02%+1.81%-18.51%1,06%
179.6 USD -0.26%+8.44%+24.21%1,06%
528.9 USD -0.27%-2.66%+14.23%1,00%
353.6 USD +5.18%+2.07%+12.95%1,00%
208.7 USD -0.15%+0.33%+31.04%1,00%
167.1 USD -0.10%+5.46%-15.35%0,99%
46.87 USD +0.47%+3.12%-4.76%0,86%
1’294 USD +1.73%+2.75%+27.90%0,83%
29.45 USD +0.17%+2.08%+3.08%0,79%
23.82 USD +0.93%-0.13%+2.94%0,75%
38.67 USD +0.34%-1.50%+11.02%0,75%
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Beschreibung

ISIN Code CA74640M1023
Verwaltungsgebühren 0.93%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
29.04.2014
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 27.03.2024 )

Volumen (EUR) 11 M€
Volumen 1M 11 M€
Volumen 3M 9 M€
Volumen 6M 10 M€
Volumen 12M 8 M€
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