Composition Mackenzie Maximum Diversification All World Developed ex North America Index ETF - CAD

ETF

MXU

CA55454L1085

Marché Fermé - Toronto S.E. 17:11:38 07/05/2024 Varia. 5j. Varia. 1 janv.
22,53 CAD +1,12% Graphique intraday de Mackenzie Maximum Diversification All World Developed ex North America Index ETF - CAD +2,83% +7,39%

Composition du Mackenzie Maximum Diversification All World Developed ex North America Index ETF - CAD

Poids
852,3 JPY +1,48%+0,09%+32,22%0,57%
10,66 EUR +0,76%+1,96%+3,41%0,57%
82 800 ILa +0,45%+0,61%+14,21%0,55%
279,2 AUD +0,77%+1,38%-2,61%0,55%
4 302 JPY +3,59%+2,19%-12,58%0,54%
9,335 EUR -0,29%+5,13%-39,53%0,53%
37,1 EUR +1,92%+2,66%-5,58%0,52%
112 HKD +0,45%+5,96%+20,37%0,51%
71,6 CHF +0,28%+1,49%-1,58%0,51%
13 550 ILa +0,22%-1,31%-4,98%0,51%
2 670 JPY +0,91%+2,91%+17,19%0,50%
266 300 JPY -3,55%-4,21%-1,88%0,50%
119,4 EUR -0,17%+4,28%+10,66%0,49%
3 279 JPY +1,96%+1,02%+21,18%0,48%
7,474 EUR +0,40%+0,95%+28,78%0,48%
2 836 GBX -0,02%+3,96%-0,67%0,48%
4 189 JPY -0,10%+1,04%+25,91%0,48%
3 210 JPY +2,03%+4,77%+12,91%0,46%
2 569 JPY +2,47%+4,01%-0,02%0,46%
1 477 JPY +3,36%+1,27%+23,60%0,46%
457,6 CHF +0,47%+4,26%+4,12%0,45%
4,146 EUR -0,31%-3,07%+16,86%0,45%
3 452 GBX +0,04%+3,03%+11,25%0,44%
1 780 ILa -0,78%+3,61%-2,09%0,44%
9 HKD +1,47%+2,86%-3,43%0,44%
1 592 JPY +1,30%+0,41%+10,86%0,43%
147 EUR +0,10%+2,37%+14,22%0,42%
3 876 JPY -0,21%-1,87%-13,33%0,41%
66,02 AUD -0,03%+0,18%+40,92%0,41%
2 905 ILa -0,45%+0,52%-1,53%0,41%
107,2 GBX +1,18%+1,46%-13,72%0,41%
359,6 GBX +1,63%+1,07%-52,61%0,41%
34,65 HKD +2,21%+1,91%-11,61%0,40%
1 298 JPY +0,46%-1,89%+27,39%0,39%
71,29 EUR +0,96%+5,40%+13,90%0,39%
166 400 JPY -1,30%-1,65%-0,06%0,38%
6 172 JPY +0,31%+0,31%+21,90%0,37%
59,58 EUR +1,05%+7,35%+2,02%0,37%
2 050 JPY -12,93%-16,14%+4,75%0,36%
7 849 JPY +3,32%+3,62%+6,66%0,35%
565,4 JPY +3,01%+2,73%+31,83%0,35%
77 HKD +3,56%+3,15%-8,82%0,35%
2 714 JPY +1,12%+2,03%+38,47%0,35%
233,4 USD -0,65%-0,08%+6,53%0,34%
42,4 EUR +1,05%+0,71%+1,46%0,34%
70 160 JPY +0,73%+1,15%+12,94%0,34%
9 000 JPY +0,98%+1,47%+30,81%0,34%
451,8 EUR +2,30%+12,20%+20,42%0,33%
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Caractéristiques

Juridiction
Structure du fonds
Méthode de réplication
Modèle de réplication
Date de création
09/07/2016
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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