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

ETF

MXU

CA55454L1085

Marché Fermé - Toronto S.E. 21:31:59 10/05/2024 Varia. 5j. Varia. 1 janv.
22,4 CAD -0,58% Graphique intraday de Mackenzie Maximum Diversification All World Developed ex North America Index ETF - CAD +1,73% +6,77%

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

Poids
4 384 JPY +1,06%+2,50%+21,10%0,15%
8,58 HKD +1,78%+0,35%+1,06%0,15%
96,3 CHF +1,69%+1,16%-11,24%0,14%
5 492 JPY +1,67%+2,08%-19,12%0,14%
2 530 JPY +1,06%-2,99%-0,75%0,14%
4 946 JPY +0,45%-2,91%-7,41%0,14%
27,85 HKD +2,20%+6,70%-8,09%0,14%
135,5 CHF +1,92%+2,81%+17,06%0,14%
151 100 JPY -0,46%-1,05%+4,86%0,14%
621,8 EUR +1,97%+3,84%+32,31%0,14%
2 627 JPY +0,90%-1,35%+13,67%0,14%
2 851 GBX +1,10%-1,38%+17,76%0,13%
219,4 SEK +3,15%+3,44%+7,92%0,13%
50 880 JPY -0,16%+9,44%+45,45%0,13%
27,62 EUR +0,47%-1,78%-3,22%0,13%
7,46 AUD 0,00%+2,90%+0,95%0,13%
1 528 JPY -0,88%-1,96%-9,40%0,13%
108,1 EUR +2,17%+3,20%+28,69%0,12%
1 578 JPY +1,94%-2,53%+36,86%0,12%
77,02 CHF +0,44%+4,33%-3,44%0,12%
3 806 JPY -1,42%-2,54%-11,12%0,12%
9,71 EUR +1,15%-1,42%+18,04%0,12%
40 940 JPY -0,20%+0,66%+10,14%0,12%
25,92 EUR +2,61%+5,99%+7,89%0,12%
155,5 EUR -0,13%+2,30%+7,91%0,12%
648,8 CHF +1,44%+4,14%+11,10%0,12%
2 003 DKK -0,45%+2,93%-7,05%0,12%
530 000 JPY -1,49%-2,57%-9,25%0,12%
154 600 JPY -0,45%-0,13%-6,30%0,12%
28,01 EUR -2,95%-3,15%+8,52%0,12%
3 616 JPY +0,36%-1,36%+20,86%0,12%
153,2 SEK +3,83%+4,33%+10,34%0,12%
6 089 JPY +5,73%+3,80%+11,93%0,12%
33,48 EUR +0,93%+2,01%-6,11%0,11%
6 939 JPY +3,99%+6,05%+19,64%0,11%
203,7 NOK +0,54%+3,59%-5,69%0,11%
4 275 JPY -1,38%-3,65%+0,07%0,11%
5 483 JPY -0,02%+0,99%+4,28%0,11%
190,8 DKK -2,18%-6,03%+5,74%0,11%
71,38 EUR +0,37%+1,97%+21,56%0,11%
3,65 AUD +0,27%+6,10%+2,53%0,11%
39,43 EUR +2,28%+4,87%-0,45%0,10%
2 902 JPY +1,66%+2,53%+57,01%0,10%
248,9 CHF +3,49%+1,84%-14,11%0,10%
24,88 EUR +1,26%-0,64%+18,00%0,10%
3 362 JPY -4,89%-0,77%-32,09%0,10%
3 309 JPY -2,27%-2,62%+6,50%0,10%
39,42 AUD +0,66%-1,25%-3,43%0,10%
47,14 EUR +1,46%+3,47%-12,93%0,10%
49b97b78e4dd73.rc_8EAUpgoNYV2gBGwz1KaIl2RAzix7eT_Iq7jNwMx0.3KWaUXN95c08ZSc0a0-XSPdPg1EF5ymWF6V7j2wzB0WYg7pFPVn05CAYWA

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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