Components AGF Systematic Canadian Equity ETF - CAD

ETF

QCD

CA00848G1000

Market Closed - Toronto S.E. 10:26:03 24/05/2024 pm IST 5-day change 1st Jan Change
34.2 CAD -0.23% Intraday chart for AGF Systematic Canadian Equity ETF - CAD -0.23% +5.72%

Composition of AGF Systematic Canadian Equity ETF - CAD

Weight
149 CAD +0.48%+3.52%+11.18%7.62%
76.2 CAD +1.37%-1.40%-11.00%4.85%
49.83 CAD +1.86%+0.61%+4.47%4.55%
173.5 CAD +2.22%+0.09%+4.17%4.54%
59.15 USD +1.04%+3.83%-24.07%4.50%
121.6 CAD +1.44%-6.84%-7.29%4.38%
64.52 CAD +0.62%-1.15%+0.03%3.69%
59.35 CAD +1.66%-3.04%+11.67%3.66%
35.4 CAD +0.91%-2.51%+20.90%2.99%
164.3 USD +1.68%-0.69%+10.08%2.79%
67.58 CAD -2.33%+1.79%+5.92%2.56%
104.7 CAD +0.98%+0.04%+20.61%2.50%
79.55 CAD +1.77%-0.82%+1.95%2.43%
23.25 CAD -0.14%-0.09%-2.88%2.34%
68.21 USD +0.03%+0.74%+24.36%2.33%
228 CAD +0.88%-0.41%+11.86%2.23%
134.6 CAD +0.37%-5.56%-5.18%2.05%
68.31 CAD +1.52%-2.06%-0.60%2.00%
50.63 CAD +2.12%+1.50%+10.98%1.96%
70.89 CAD +0.78%+1.00%+26.57%1.92%
158.3 CAD +1.49%+1.05%+23.40%1.78%
54.51 CAD +2.12%-0.04%-.--%1.76%
167.7 CAD -1.38%+0.58%+14.25%1.41%
193.6 CAD +0.40%-0.99%+17.71%1.41%
96.3 CAD +1.44%+1.97%+27.58%1.39%
61.66 CAD +1.05%-0.50%-21.24%1.30%
29.27 USD +2.38%-2.66%-30.34%1.25%
3,791 CAD +1.94%-0.71%+15.40%1.23%
205 CAD +1.34%-1.74%+10.37%1.21%
1,534 CAD +1.71%-1.90%+25.50%1.20%
39.33 CAD +0.92%+0.51%-7.91%1.18%
55.6 CAD +1.89%+0.98%+30.98%1.04%
10.67 CAD +1.63%+3.09%+20.29%0.95%
47.46 CAD +1.41%-2.89%-5.65%0.94%
52.56 CAD +1.45%+0.25%+1.55%0.80%
70.25 CAD +2.12%-2.44%+17.89%0.74%
46.62 CAD +1.26%+1.59%-10.64%0.73%
27.71 CAD +1.13%+0.54%+36.44%0.68%
39.33 CAD +1.31%+3.53%+3.94%0.67%
31.08 CAD +1.60%-1.55%-2.54%0.65%
6.57 USD +4.45%+3.30%-18.08%0.65%
12.7 CAD +0.74%-1.78%-8.96%0.65%
39.52 CAD +0.76%-2.42%+2.20%0.62%
53.5 CAD -0.21%-2.67%+0.53%0.47%
13.66 CAD +1.94%+5.24%+23.73%0.45%
79.87 CAD +1.86%-0.71%+6.99%0.38%
72.63 CAD -1.22%-2.59%+5.89%0.34%
14.63 CAD +3.39%-1.55%-1.55%0.32%
17.51 CAD -1.74%-3.26%+61.38%0.28%
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Description

CA00848G1000
Total Expense Ratio 0.45%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Date of creation
29/01/2017
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 1 M€
AuM 1M 33 M€
AuM 3 months 33 M€
AuM 6 months 31 M€
AuM 12 months 42 M€
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