|
Marché Fermé -
Autres places de cotation
|
Varia. 5j. | Varia. 1 janv. | ||
| 18,16 CAD | +0,50% |
|
+4,37% | -10,89% |
Composition: BMO MSCI China Selection Equity Index ETF - CAD
Ajouter à une liste 0 sélectionné | |||||
|---|---|---|---|---|---|
| 460,20HKD | -2,00% | -23,17% | 24,59% | ||
| 8,130HKD | +0,74% | +5,72% | 5,74% | ||
| 6,660HKD | +0,15% | +5,88% | 3,12% | ||
| 84,90HKD | +2,72% | -10,96% | 2,61% | ||
| 206,80HKD | -2,73% | -3,63% | 2,34% | ||
| 43,02USD | +1,68% | -9,89% | 1,2% | ||
| 43,04HKD | +2,23% | -32,70% | 1,19% | ||
| 5,490HKD | 0,00% | -5,02% | 1,11% | ||
| 37,96HKD | +2,43% | +20,74% | 1% | ||
| 4,060HKD | -0,73% | -13,06% | 0,93% | ||
| 89,70HKD | +3,88% | +17,64% | 0,92% | ||
| 150,70HKD | -0,20% | -19,71% | 0,91% | ||
| 348,76CNY | -7,12% | -5,04% | 0,79% | ||
| 20,74HKD | +3,08% | -36,42% | 0,78% | ||
| 32,18HKD | +1,71% | +18,31% | 0,77% | ||
| 18,64HKD | +2,81% | +4,13% | 0,74% | ||
| 39,74HKD | -1,34% | -15,16% | 0,71% | ||
| 41,11USD | +0,39% | -12,62% | 0,66% | ||
| 24,48HKD | +1,83% | +164,36% | 0,58% | ||
| 8,110HKD | +3,44% | -3,80% | 0,58% | ||
| 34,26HKD | -1,83% | +81,75% | 0,49% | ||
| 5,190HKD | +3,80% | -16,02% | 0,48% | ||
| 37,30HKD | +2,19% | -32,79% | 0,47% | ||
| 12,91HKD | +2,95% | +5,39% | 0,42% | ||
| 36,88CNY | -1,78% | -12,40% | 0,41% | ||
| 42,22HKD | +1,88% | -38,99% | 0,4% | ||
| 31,94HKD | +2,50% | -11,47% | 0,39% | ||
| 43,70HKD | +0,97% | -28,59% | 0,38% | ||
| 11,02HKD | +0,92% | -8,62% | 0,37% | ||
| 17,21HKD | -1,09% | +15,43% | 0,37% | ||
| 4,670HKD | +0,21% | -12,22% | 0,33% | ||
| 28,03CNY | +0,94% | +3,09% | 0,32% | ||
| 55,90HKD | -1,41% | -14,72% | 0,3% | ||
| 6,620HKD | +0,15% | -10,90% | 0,23% | ||
Description
| Code ISIN | CA05575H1064 |
|---|---|
| Frais de gestion (TER) | 0.67% |
| Catégories d'actif | Actions |
| Taille | |
| Devise | |
| Société de gestion | |
| Sous-jacent | MSCI China Selection Index - CAD |
| Autres ETFs | |
Caractéristiques
| Politique de dividendes | Distribution |
|---|---|
| Méthode de réplication | Physique |
| Juridiction | |
| Structure du fonds | |
| Date de création |
19/01/2010
|
| Objectif géographique |
Évolutions des encours - 27/02/2026
| Encours (CAD) | 132 M |
|---|---|
| Encours 1 mois | 146 M |
| Encours 3 mois | 183 M |
| Encours 6 mois | 120 M |
| Encours 12 mois | 107 M |
Sélectionnez votre édition
Toutes les informations financières adaptées au niveau national
















