Composition Accelerate Absolute Return Hedge Fund- CAD

ETF

HDGE.U

CA00435W1041

Marché Fermé - Toronto S.E. 20:58:11 10/05/2024 Varia. 5j. Varia. 1 janv.
26,64 CAD +0,72% Graphique intraday de Accelerate Absolute Return Hedge Fund- CAD +1,83% +18,98%

Composition du Accelerate Absolute Return Hedge Fund- CAD

Poids
156,2 USD -3,06%-11,37%-2,37%2,57%
121,8 USD -2,84%-0,64%+24,51%2,54%
59,56 USD +0,27%+4,13%+11,64%2,49%
4,86 USD -3,67%-11,48%-40,73%2,48%
952,1 USD +0,47%+11,57%+2,55%2,47%
167 USD -1,36%-14,73%+0,01%2,47%
301,6 USD -0,05%+2,21%-1,04%2,46%
82,82 USD -0,10%+5,45%+11,83%2,44%
29,29 USD -1,11%-5,03%-19,47%2,44%
20,4 USD -2,06%+4,51%-29,75%2,43%
31,64 USD 0,00%+2,76%+10,82%2,41%
86,51 USD -1,56%+3,12%-13,95%2,39%
101,9 USD +0,08%+8,29%+22,05%2,38%
390,2 USD -2,26%-0,61%+27,29%2,38%
315,9 USD -0,79%+3,69%+56,58%2,35%
174,5 USD +0,06%+0,32%+0,25%2,35%
320,9 USD +0,13%+3,07%+2,87%2,35%
83,77 USD +4,30%+4,14%+21,12%2,33%
110,3 USD +1,12%+5,08%+27,30%2,33%
95,85 USD +0,80%+1,48%+3,23%2,33%
293,2 USD -0,80%+1,16%+4,82%2,33%
156,1 CAD +0,32%+1,42%+21,70%2,33%
25,51 CAD -1,32%+3,61%+29,69%2,32%
112,8 USD +0,28%-2,16%-25,66%2,32%
24,1 CAD -2,03%+1,01%-3,41%2,31%
27,82 USD +0,18%+1,31%+0,36%2,30%
176,8 USD -0,32%+1,14%+19,28%2,29%
718,3 USD +1,07%+3,11%+23,56%2,29%
209,7 USD +1,65%+2,76%+29,41%2,29%
77,02 CHF +0,44%+4,33%-3,44%2,28%
3 806 USD +0,68%+6,38%+7,29%2,28%
23,26 USD -1,77%-0,13%+16,30%2,28%
150,3 USD -1,03%-9,11%-23,42%2,28%
22,45 USD -0,31%+3,74%+23,76%2,27%
206,3 USD +1,15%+6,47%+16,42%2,25%
6,53 CAD +1,56%+15,58%+89,28%2,24%
559,9 USD +0,86%+5,87%+20,94%2,23%
564,7 USD -0,11%+3,25%+3,45%2,23%
103,8 USD -1,03%-6,39%+18,74%2,22%
59,83 USD +1,01%+4,20%+7,94%2,20%
435,6 USD +4,13%+10,99%+22,16%2,20%
79,5 CAD +1,03%+9,67%+3,09%2,20%
33,11 USD +0,18%+3,73%-14,13%2,18%
1 019 USD -1,11%+0,63%+7,29%2,17%
215,8 USD +0,95%+3,37%+35,46%2,15%
99,53 USD +1,50%+0,63%-1,26%2,07%
148,8 USD -0,31%+9,32%+12,69%2,06%
382,9 USD +0,63%+3,59%+8,30%1,97%
16,3 USD +3,49%-11,12%-54,61%1,34%
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Description

Code ISIN CA00435W1041
Frais de gestion (TER) 0.36%
Catégories d'actif
Devise
Société de gestion

Caractéristiques

Juridiction
Structure du fonds
Date de création
10/05/2019
Politique de dividendes
Objectif géographique

Distribution

Investisseur Particulier

Évolutions des encours ( 30/04/2024 )

Encours (EUR) 0 M€
Encours 1 mois 0 M€
Encours 3 mois 0 M€
Encours 6 mois 0 M€
Encours 12 mois 0 M€
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