Einzelwerte TD Q Global Multifactor ETF - CAD

ETF

A3DW6S

CA87241Q1081

TQGM

Markt geschlossen - Toronto S.E. 21:32:37 01.05.2024 % 5 Tage % 1. Jan.
16.87 CAD -0.18% Intraday Chart für TD Q Global Multifactor ETF - CAD +0.96% +7.25%

Zusammensetzung des TD Q Global Multifactor ETF - CAD

Gewichtung
7’587 USD +1.44%-0.79%+8.37%1,60%
3’100 JPY +0.39%+1.21%+34.86%1,52%
182.6 USD -0.22%-7.98%+23.05%1,51%
298.3 GBX -0.50%+3.25%+2.69%1,49%
3’683 JPY 0.00%+1.26%-6.40%1,48%
7’793 JPY +0.05%+0.14%+23.84%1,47%
170.4 JPY -0.06%+1.31%-1.10%1,46%
1’730 JPY -3.24%+3.10%+13.55%1,46%
183.4 USD +5.98%+8.32%-4.75%1,45%
704.7 JPY -0.48%-1.01%+25.75%1,44%
157.5 USD -1.92%-1.01%-7.71%1,44%
4’422 JPY +0.43%+0.96%-1.43%1,44%
14.28 SGD -0.42%+0.07%+9.85%1,42%
842.3 USD +1.17%+1.07%+26.02%1,41%
19.5 EUR +0.72%+2.47%-15.36%1,41%
1’013 USD +0.67%-2.97%+6.62%1,40%
2’928 JPY -2.19%-7.30%-22.74%1,40%
3.356 EUR -0.50%-2.04%+7.63%1,40%
153.9 CAD -0.44%+1.02%+20.00%1,40%
2’952 USD -0.33%+0.21%+14.18%1,38%
10.45 EUR +0.43%+0.53%+1.42%1,38%
5’771 JPY -0.71%+2.38%+16.99%1,38%
128.6 GBX +1.22%-3.85%-8.60%1,37%
14’455 JPY -0.24%+7.27%+42.13%1,34%
1’734 JPY +0.64%+0.81%+42.13%1,34%
15.62 EUR +0.55%-1.88%-5.70%1,32%
185.5 CAD +0.47%+0.72%+12.77%1,27%
342.8 USD +2.18%+2.32%-1.07%1,27%
3.5 USD -0.28%-1.96%-4.11%1,26%
224 USD -0.35%-7.03%+9.04%1,23%
289.8 USD -0.32%-0.29%+3.61%1,22%
528.9 USD -0.27%-2.66%+14.23%1,22%
28.1 EUR -0.14%+0.36%+8.01%1,15%
32.4 CAD +0.53%+1.25%-7.56%1,13%
3’437 JPY -2.00%+3.46%+32.91%1,10%
39.3 HKD -0.25%+2.75%-6.09%1,10%
12.62 EUR +0.84%+1.69%+3.87%1,08%
1’783 JPY -0.25%+1.86%+21.62%1,07%
62.55 HKD +0.16%0.00%-2.95%1,07%
168.3 USD -0.01%-4.08%-18.28%1,06%
178.9 USD +1.77%+0.81%+4.96%1,04%
42.41 AUD +0.07%-1.71%-15.87%0,99%
461.9 USD -0.28%+0.13%+1.91%0,96%
390 USD +1.32%+2.17%+16.45%0,94%
928 DKK +0.32%-2.75%+9.59%0,93%
85.41 CAD +1.01%+0.77%-5.45%0,93%
1’640 GBX +1.61%+0.92%-7.00%0,93%
16.12 AUD +0.19%-1.83%+0.06%0,93%
23.37 USD -0.93%-3.23%-20.73%0,92%
0.wHzKkxIUXZiw2IVUIbyIvfb8DwyRzVIwFQtG6cuExtE.pzOCwEBQCffojMotbe769rqSSVvZvxBpODl_h6bOreaHCfPeXl859dW8tQ

Beschreibung

ISIN Code CA87241Q1081
Verwaltungsgebühren 0.45%
Anlageklassen
Branche
Wert
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Fondsstruktur
Erstellungsdatum
26.11.2019
Dividenden-Politik
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 27.03.2024 )

Volumen (EUR) 89 M€
Volumen 1M 79 M€
Volumen 3M 58 M€
Volumen 6M 39 M€
Volumen 12M 24 M€
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