Samenstelling TD Q International Low Volatility ETF - CAD

ETF

TILV

CA87241K1012

Beurs gesloten - Toronto S.E. 20:25:00 22-05-2024 Variatie 5 dagen Verschil t.o.v. 1 jan (%)
15,73 CAD -0,57% Intraday-grafiek van TD Q International Low Volatility ETF - CAD +0,77% +4,80%

Samenstelling van de TD Q International Low Volatility ETF - CAD

Gewicht
35,73 SGD -0,33%+0,08%+17,64%1.54%
65,75 HKD -0,98%-0,75%+2,09%1.54%
151,8 JPY -0,65%0,00%-11,90%1.50%
14,38 SGD -0,76%-0,48%+10,54%1.49%
471,7 CHF +0,02%+0,55%+7,30%1.46%
1.005 GBX -10,86%-12,04%-5,01%1.45%
4.302 JPY -0,60%-0,69%-4,10%1.45%
8.511 JPY -2,51%-0,46%+35,25%1.45%
3.490 GBX +0,23%+1,01%+12,22%1.45%
92,77 CHF -0,42%+0,16%+9,31%1.43%
4.312 GBX +0,87%+0,75%+13,47%1.43%
5.178 JPY -0,48%+5,24%+46,73%1.43%
4.455 JPY +0,20%+1,00%+22,22%1.42%
1.830 JPY -1,51%-2,01%-11,05%1.42%
3.397 JPY -0,18%-1,14%+31,13%1.40%
3,433 EUR -0,17%-0,98%+10,10%1.40%
280,7 AUD -0,47%+0,23%-2,09%1.35%
93,3 CHF -1,85%-2,22%-4,32%1.35%
494 CHF -0,68%-1,59%-2,37%1.34%
10,6 EUR -0,93%-1,49%+2,92%1.34%
4.239 CHF +1,48%+3,21%+21,67%1.31%
4.441 GBX -0,52%-3,83%-18,06%1.29%
29,11 EUR -1,39%-0,41%+11,90%1.25%
9,36 SGD -1,16%+1,30%-4,78%1.23%
21,77 EUR -1,54%-0,55%+0,09%1.21%
59,24 EUR -0,87%-1,04%+0,95%1.20%
775,4 JPY -0,53%+3,62%+38,37%1.19%
26,45 HKD -4,20%-9,11%-12,71%1.18%
6.862 JPY +0,29%-0,85%+17,50%1.18%
3.148 JPY -0,10%+0,45%+30,49%1.15%
1,99 SGD 0,00%+0,51%-3,88%1.15%
3,91 USD -3,69%+9,22%+7,12%1.13%
31,02 AUD -1,56%-2,02%-16,64%1.11%
12.404 GBX +0,36%+1,96%+17,02%1.11%
82,25 NOK -1,14%-0,06%+4,33%1.10%
2.710 GBX -1,31%-3,82%-5,13%1.08%
2,64 SGD -0,75%-0,38%-12,87%1.07%
2.588 JPY +2,58%+5,20%+38,25%1.04%
84,9 CHF -1,22%-0,93%-5,51%1.00%
24,95 HKD -1,58%-3,29%+17,92%0.94%
3,12 SGD -0,64%-1,27%-12,61%0.93%
16,27 EUR -0,64%+0,28%-1,78%0.92%
3.078 JPY -0,19%-2,16%+33,90%0.92%
1.591 CHF -0,13%+1,02%+12,12%0.91%
2,41 SGD +0,42%0,00%-2,82%0.90%
142,2 EUR -1,39%-5,33%-10,99%0.85%
123,9 NOK -2,36%-3,20%+6,26%0.85%
937,4 DKK +1,56%+2,68%+34,28%0.84%
3,739 EUR -1,73%-3,78%-17,91%0.84%
4,24 NZD +0,95%+0,24%-18,15%0.82%
5575c2ca90d8dd63d99a39ddce30c.nNOiDozXa7bVvOuAbrYfhzyMyofCE2Wd2Ahpdci_guU.0p_xY8GtNMLm1KD3Avgr_UXJq8SvIQiwmVkDWIbx8LXwqdhEwpom5KT00w

Beschrijving

ISIN-code CA87241K1012
Totalekostenratio (TER) 0.40%
Activaklassen
Sector
Grootte
Valuta
Beheerder

Kenmerken

Rechtsgebied
Fondsstructuur
Aanmaakdatum
08-05-2019
Dividendbeleid
Factor
Geografisch zwaartepunt

Distributie

Individuele belegger

Veranderingen in de stand van zaken ( 30-04-2024 )

Volume (EUR) 46 M€
Volume 1 maand 46 M€
AuM 3 months 42 M€
AuM 6 months 36 M€
AuM 12 months 44 M€
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