Components BMO Low Volatility US Equity ETF - USD

ETF

BMLWF

CA05577D2023

Market Closed - OTC Markets 10:48:28 03/06/2024 pm IST 5-day change 1st Jan Change
37.08 USD +1.23% Intraday chart for BMO Low Volatility US Equity ETF - USD 0.00% 0.00%

Composition of BMO Low Volatility US Equity ETF - USD

Weight
130.7 USD +0.11%+4.09%+19.86%1.81%
42.86 USD -1.54%-3.42%-0.86%1.77%
115 USD -0.34%+2.99%-9.02%1.60%
67.46 USD +0.10%-1.88%+3.56%1.55%
200.6 USD -0.59%-4.83%+11.98%1.48%
59.63 USD -0.77%-1.18%+6.65%1.48%
170 USD +1.08%+1.89%+3.95%1.48%
51.98 USD +0.06%-0.74%+13.72%1.46%
513.6 USD -0.03%+0.98%+24.58%1.43%
40.94 USD -0.94%-0.51%+8.59%1.42%
35.55 USD +0.25%-0.34%+20.59%1.41%
147.1 USD +0.45%+0.28%-6.16%1.40%
212.5 USD -0.31%+0.64%+33.43%1.39%
40.36 USD -5.04%-3.77%-2.49%1.39%
169.4 USD +0.50%+5.07%+9.32%1.37%
24.72 USD -2.83%-0.44%+8.33%1.37%
440 USD -1.07%-2.38%-6.00%1.37%
30.64 USD -0.78%-1.10%-4.58%1.36%
850 USD +1.52%+3.61%+45.82%1.32%
470.1 USD +0.32%-0.04%+3.73%1.32%
142.3 USD -0.21%+0.26%+3.23%1.29%
221.9 USD -0.06%-1.30%+5.36%1.25%
213 USD +1.54%-1.27%+11.79%1.21%
371.1 USD +0.16%+1.69%+18.52%1.21%
165.1 USD +1.19%-1.47%+17.92%1.20%
256.2 USD -1.73%-1.04%-13.59%1.14%
33.16 USD -0.48%-2.73%-14.23%1.14%
305 USD -0.22%-0.27%+5.90%1.14%
2,801 USD +1.30%+1.11%+8.32%1.14%
29.72 USD +0.61%-0.54%+3.70%1.10%
240.6 USD +0.19%+3.73%-1.31%1.10%
140 USD -0.61%+1.85%+7.13%1.09%
554 USD +0.67%+3.99%+1.63%1.09%
89.18 USD -0.93%-3.32%-24.65%1.08%
125.9 USD +1.96%+7.45%+19.43%1.07%
41.48 USD +1.47%+0.95%-19.16%1.07%
199.4 USD -0.49%-1.78%-5.34%1.07%
978.7 USD -0.38%+1.60%+3.01%1.07%
27.58 USD -0.29%-3.30%+8.07%1.07%
28.58 USD -0.76%-0.28%-0.73%1.05%
91.61 USD -0.30%-3.11%+0.70%1.05%
134.5 USD -0.96%+0.89%+10.67%1.05%
64.7 USD +1.33%+0.67%-20.13%1.04%
18.1 USD -0.98%-0.66%+7.87%1.02%
267.2 USD +1.32%-1.33%+18.24%1.01%
60.63 USD -1.19%-3.65%+4.41%1.00%
102.6 USD -0.23%-0.92%+5.75%0.99%
61.78 USD +1.38%+3.66%-21.76%0.98%
88.3 USD -0.45%-2.16%+8.72%0.97%
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Description

CA05577D2023
Total Expense Ratio 0.33%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
19/03/2013
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 60 M€
AuM 1M 60 M€
AuM 3 months 60 M€
AuM 6 months 59 M€
AuM 12 months 70 M€
  1. Stock Market
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  4. Components BMO Low Volatility US Equity ETF - USD