Samenstelling Franklin Liberty Risk Managed Canadian Equity ETF - Distributing - CAD

ETF

FLRM

CA3537691022

Vertraagde tijd Toronto S.E. Variatie 5 dagen Verschil t.o.v. 1 jan (%)
- CAD -.--% Intraday-grafiek van Franklin Liberty Risk Managed Canadian Equity ETF - Distributing - CAD -.--% +1,80%

Samenstelling van de Franklin Liberty Risk Managed Canadian Equity ETF - Distributing - CAD

Gewicht
76,45 CAD -0,20%+0,33%-10,71%6.85%
146,4 CAD -0,52%-1,77%+9,22%6.74%
170,9 CAD -0,78%-1,49%+2,62%4.73%
106,3 CAD -0,91%-2,03%+1,38%4.33%
116,9 CAD -1,18%-3,83%-10,85%4.24%
64,6 CAD -0,17%+0,12%+0,16%3.97%
49,21 CAD -0,55%-1,24%+3,17%3.26%
80,14 CAD +0,16%+0,74%+2,70%3.07%
47,09 CAD -0,15%+1,01%-9,74%2.83%
165,5 USD -2,04%+0,74%+10,90%2.57%
67,39 CAD +0,15%-0,28%+5,63%2.55%
35,59 CAD +0,59%+0,54%+21,55%2.36%
3.842 CAD +0,89%+1,34%+16,94%2.13%
67,52 CAD +0,30%-1,16%-1,75%1.94%
22,76 CAD -0,39%+1,56%-3,48%1.90%
228,5 CAD -0,36%+0,22%+12,11%1.81%
54,18 CAD -1,29%+3,08%+4,68%1.69%
22,23 CAD -6,12%-4,39%-7,14%1.68%
139,4 CAD +0,22%+3,56%-1,81%1.66%
117,7 CAD -0,25%+1,07%+16,57%1.63%
76,24 CAD -0,17%-4,54%+2,13%1.55%
55,07 CAD -0,97%+1,03%+1,03%1.52%
161,8 CAD -4,74%-3,49%+10,26%1.40%
63,8 USD -7,12%-6,47%+16,32%1.29%
235 CAD -0,17%+0,22%+21,33%1.25%
68,78 USD -3,22%+0,29%-11,97%1.20%
127,1 CAD +0,32%-1,46%+33,12%1.10%
208 CAD -0,56%+1,44%+11,96%1.09%
53,86 CAD -0,43%-2,20%-13,17%1.08%
28,55 USD -3,42%-1,18%-9,34%1.07%
160,9 CAD -0,57%+1,66%+25,45%1.02%
72,35 CAD -4,80%-3,08%+10,68%1.01%
39,99 CAD +1,94%+1,06%+5,54%0.99%
75,19 CAD -0,50%+3,52%+9,62%0.92%
1.562 CAD +0,35%+1,79%+27,75%0.92%
47,58 CAD +0,13%+0,25%-5,41%0.85%
27,7 USD -1,67%-5,30%-34,08%0.83%
67,68 CAD -3,02%-4,53%+20,84%0.81%
50,97 CAD -0,18%+0,67%+11,73%0.79%
60,19 CAD -0,31%-2,38%-23,12%0.68%
193,8 CAD +1,28%+7,44%+7,50%0.65%
40,86 CAD +0,07%+4,08%+2,92%0.60%
195,3 CAD -0,78%+0,84%+18,70%0.54%
39,92 CAD +0,91%-2,35%-8,98%0.52%
113 CAD -0,46%+2,72%+6,21%0.48%
87,15 CAD -0,30%-1,79%-3,52%0.45%
36,65 CAD -3,58%-3,68%+5,29%0.45%
120,2 CAD +0,23%+0,99%+3,55%0.43%
125,4 CAD -1,33%-0,35%+12,66%0.43%
37 CAD -2,19%+1,15%+15,44%0.42%
5667342bd91967b50093b931406b014d.n1plkuBw5jaX25PX7lExtiKPk8Zp8QJw2YZUyHgZwPM.1Qkr2rRI3kfNr_GVlCUE3kS2qoc_wGM3lsdmrQ119JfxaALWjAqMB8Wh1g

Beschrijving

ISIN-code CA3537691022
Totalekostenratio (TER) 0.35%
Activaklassen
Sector
Grootte
Valuta
Beheerder

Kenmerken

Rechtsgebied
Fondsstructuur
Aanmaakdatum
30-05-2017
Dividendbeleid
Factor
Geografisch zwaartepunt

Distributie

Individuele belegger

Veranderingen in de stand van zaken ( 31-10-2023 )

Volume (EUR) 3 M€
Volume 1 maand 3 M€
AuM 3 months 3 M€
AuM 6 months 3 M€
AuM 12 months 5 M€
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