Composition Desjardins RI Emerging Markets Multifactor - Net-Zero Emissions Pathway ETF - CAD

ETF

DRFE

CA25060F1009

Marché Fermé - Toronto S.E. 16:53:51 10/05/2024 Varia. 5j. Varia. 1 janv.
21,92 CAD +0,32% Graphique intraday de Desjardins RI Emerging Markets Multifactor - Net-Zero Emissions Pathway ETF - CAD +0,64% +9,71%

Composition du Desjardins RI Emerging Markets Multifactor - Net-Zero Emissions Pathway ETF - CAD

Poids
802 TWD +0,75%+2,82%+35,24%5,64%
79 200 KRW -0,63%+1,54%+0,89%3,58%
371 HKD +0,32%+2,94%+26,36%2,70%
169,5 TWD -0,59%+8,65%+62,20%1,51%
41,58 BRL +7,34%+4,24%+11,65%1,42%
1 120 INR +0,42%-1,85%+1,54%1,41%
401 000 KRW +0,75%+0,50%-19,72%1,27%
470,5 TWD -0,95%+9,67%-3,88%1,26%
13,23 MXN +0,92%-0,60%+0,08%1,25%
10,12 HKD -0,98%+11,33%-7,33%1,23%
8 847 INR +1,11%-2,90%+30,15%1,21%
15,9 USD +0,38%-3,34%-10,47%1,16%
2 798 INR +1,18%+0,16%+10,64%1,15%
13,3 TWD 0,00%-2,92%-6,99%1,11%
25,55 MXN +1,51%+4,54%-16,42%1,11%
5,09 HKD +5,38%+10,17%+24,45%1,09%
80 400 KRW +2,94%+7,20%+52,85%1,09%
4,86 HKD +4,97%+8,72%+32,07%1,06%
14 530 KRW +1,32%+3,93%+11,77%1,05%
54 500 KRW +1,68%+4,81%+8,13%1,03%
3,86 EUR +2,12%+1,87%+20,62%1,02%
97 500 KRW +4,50%+6,56%-4,22%1,02%
47,8 TWD +0,95%+5,05%-11,15%1,01%
27,45 HKD +3,78%+8,93%+1,10%1,00%
30,35 TWD +0,33%+1,00%-1,14%1,00%
114 TWD +1,79%+2,70%+15,62%0,98%
10,28 MYR -0,39%+0,78%+39,67%0,97%
5,59 CNY +0,36%+0,18%+23,40%0,97%
6,71 CNY +0,60%0,00%+19,40%0,96%
9 980 KRW -0,20%+2,04%-2,44%0,96%
7,41 CNY +1,09%+1,51%+24,12%0,95%
39 400 KRW +4,10%+5,07%+2,34%0,95%
99,5 TWD +0,71%+2,47%+13,97%0,95%
33,65 USD -0,97%-0,36%-15,24%0,94%
7,94 CNY +1,79%+3,12%+19,94%0,92%
11,85 PLN +3,31%+18,76%-3,89%0,91%
105 TWD +3,96%+5,32%-10,26%0,90%
3,91 CNY +0,51%-1,01%+4,55%0,90%
36,4 TWD +0,41%+3,70%-8,66%0,89%
27,6 EUR -0,72%-8,00%+9,87%0,88%
58,7 CLP +0,55%+4,00%+3,00%0,85%
1 264 INR -0,37%+1,12%-0,65%0,84%
5,64 HKD +6,82%+9,94%+21,29%0,83%
3,74 HKD +5,06%+10,00%+24,25%0,82%
1 726 CLP -1,32%+1,81%+4,29%0,82%
326 500 KRW +3,32%+8,47%+24,14%0,80%
10,28 HKD +4,47%+11,38%+10,78%0,79%
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Description

Code ISIN CA25060F1009
Frais de gestion (TER) 0.65%
Catégories d'actif
Secteur
Taille
Devise
Société de gestion

Caractéristiques

Juridiction
Structure du fonds
Date de création
07/03/2019
Politique de dividendes
Facteur
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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