Composition CI First Asset Morningstar International Value Index ETF (CAD Hedged) - CAD
ETF
VXM
CA12555N1033
Marché Fermé -
Autres places de cotation
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Varia. 5j. | Varia. 1 janv. | ||
33,39 CAD | +1,99% | 0,00% | +13,46% |
Composition du CI First Asset Morningstar International Value Index ETF (CAD Hedged) - CAD
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Cours
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Varia.
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Varia. 5j.
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Varia. 1 janv.
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Poids
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52 NOK | +0,97% | +0,97% | +31,98% | 0,62% | ||
18,25 EUR | +1,16% | +6,23% | -2,25% | 0,60% | ||
10 330 DKK | +6,17% | +7,96% | -14,91% | 0,57% | ||
2 688 JPY | +1,20% | +1,17% | -8,13% | 0,57% | ||
33,18 EUR | +2,22% | +1,28% | +9,79% | 0,57% | ||
2 092 JPY | +3,77% | +2,40% | +3,71% | 0,56% | ||
5,936 SEK | +6,19% | +6,27% | -35,94% | 0,56% | ||
22,62 AUD | -0,62% | -1,48% | -3,33% | 0,56% | ||
5 HKD | +2,67% | +7,07% | +13,64% | 0,55% | ||
4 713 JPY | +2,12% | +2,68% | +4,34% | 0,55% | ||
4 135 JPY | +8,39% | +15,37% | +40,41% | 0,55% | ||
3 770 JPY | -0,53% | -1,69% | -7,03% | 0,55% | ||
4 205 JPY | +2,34% | +1,25% | -3,80% | 0,55% | ||
0,425 SGD | +2,41% | +6,25% | -26,72% | 0,55% | ||
1 147 JPY | +0,35% | -0,61% | +0,44% | 0,54% | ||
4 737 JPY | +0,32% | +9,40% | +12,71% | 0,54% | ||
23,75 EUR | +0,89% | -0,34% | -7,50% | 0,54% | ||
14,37 AUD | -3,43% | -1,30% | -8,88% | 0,54% | ||
5 910 JPY | +1,37% | +2,96% | +18,32% | 0,54% | ||
1,771 EUR | +0,06% | -0,06% | +9,59% | 0,54% | ||
16,88 EUR | +1,93% | +5,24% | -6,95% | 0,54% | ||
65,1 HKD | +2,68% | +7,07% | -1,51% | 0,54% | ||
5,86 EUR | -6,31% | -5,02% | +4,74% | 0,54% | ||
1 900 JPY | +1,06% | +0,82% | +4,14% | 0,54% | ||
9,87 EUR | +1,44% | +1,75% | +3,46% | 0,54% | ||
471,5 NOK | +1,40% | -1,36% | +51,36% | 0,54% | ||
476 GBX | +0,74% | +3,14% | -1,08% | 0,54% | ||
32,65 EUR | +2,35% | +1,71% | +11,24% | 0,54% | ||
25,28 EUR | +4,03% | +5,51% | +2,06% | 0,54% | ||
1 595 JPY | +2,01% | +7,30% | +33,25% | 0,53% | ||
46,82 EUR | +1,56% | +0,56% | +0,64% | 0,53% | ||
4 030 JPY | +3,60% | +10,41% | -1,71% | 0,53% | ||
214,2 GBX | -0,37% | 0,00% | +30,25% | 0,53% | ||
4 430 JPY | +0,23% | +1,49% | +12,87% | 0,53% | ||
95,22 EUR | +2,28% | +2,23% | +17,64% | 0,53% | ||
14,46 EUR | 0,00% | +0,07% | +22,13% | 0,53% | ||
7,69 AUD | +1,59% | -2,41% | +3,36% | 0,53% | ||
15,21 EUR | +1,50% | -2,66% | +11,92% | 0,53% | ||
165,2 GBX | +0,92% | -2,42% | -5,60% | 0,53% | ||
2 240 JPY | +0,43% | -1,41% | +45,47% | 0,52% | ||
3 525 JPY | +0,71% | +4,14% | +20,27% | 0,52% | ||
3,28 AUD | 0,00% | +3,14% | -18,20% | 0,52% | ||
213,8 DKK | +4,39% | +3,69% | -4,13% | 0,52% | ||
1 839 JPY | +2,68% | +9,14% | +15,30% | 0,52% | ||
5 390 JPY | +0,75% | +2,47% | +9,89% | 0,52% | ||
469,5 GBX | +0,19% | -1,01% | -0,55% | 0,52% | ||
10,13 EUR | -0,10% | +1,76% | -4,93% | 0,52% | ||
261,5 GBX | +0,31% | +6,39% | -4,00% | 0,52% | ||
2 336 JPY | +0,75% | -0,49% | +6,81% | 0,52% | ||
Description
Code ISIN | CA12555N1033 |
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Frais de gestion (TER) | 0.66% |
Catégories d'actif | |
Secteur | |
Taille | |
Devise | |
Société de gestion | |
Sous-jacent | Morningstar Developed Markets ex-North America Target Value Index Hedged NR CAD - CAD |
Caractéristiques
Juridiction | |
Structure du fonds | |
Méthode de réplication | |
Modèle de réplication | |
Date de création |
13/11/2014
|
Politique de dividendes | |
Facteur | |
Objectif géographique |
Évolutions des encours ( 28/03/2024 )
Encours (EUR) | 11 M€ |
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Encours 1 mois | 11 M€ |
Encours 3 mois | 10 M€ |
Encours 6 mois | 10 M€ |
Encours 12 mois | 9 M€ |