Components Fidelity International Low Volatility Index ETF - CAD

ETF

FCIL

CA31624M1023

Delayed Toronto S.E. 5-day change 1st Jan Change
- CAD -.--% Intraday chart for Fidelity International Low Volatility Index ETF - CAD -.--% -.--%

Composition of Fidelity International Low Volatility Index ETF - CAD

Weight
4,437 JPY +0.68%+2.28%+3.86%3.65%
85.5 CHF +0.47%0.00%-4.84%3.45%
11.58 EUR +0.56%+0.30%-2.49%3.13%
4,422 JPY +0.43%+0.84%-1.43%3.04%
873.1 DKK -2.74%-2.04%+25.07%3.04%
10.4 EUR -0.19%-5.75%+0.98%2.95%
170.4 JPY -0.06%-0.58%-1.10%2.94%
3,48,000 JPY +0.14%+4.35%+10.13%2.94%
1,059 GBX +0.38%-0.05%+0.09%2.93%
91.82 CHF -0.41%-2.59%-5.84%2.90%
493.8 CHF -1.93%-4.30%-2.41%2.80%
2,510 JPY +4.98%+6.18%+34.08%2.57%
15.91 EUR +1.66%-0.62%+6.71%2.49%
88.87 CHF -0.20%-0.08%+4.71%2.24%
12,156 GBX -0.12%+7.88%+14.68%2.04%
214.1 CHF -2.95%-6.79%-12.43%2.04%
275.4 AUD +0.33%-1.28%-3.93%1.98%
4,303 JPY +0.91%+3.07%+18.05%1.98%
4,180 GBX +0.97%+8.26%+10.00%1.80%
2,028 JPY -1.15%-0.22%+8.71%1.68%
91.9 EUR -1.27%+3.43%+2.38%1.49%
2,728 GBX -0.51%-3.21%-4.46%1.48%
2,390 JPY 0.00%+7.95%-0.27%1.43%
2,371 GBX +0.94%+0.47%+3.29%1.40%
142.2 EUR +1.14%+3.31%+4.75%1.39%
1,728 GBX +1.38%+4.69%+19.19%1.34%
35.06 NZD -.--%+0.23%-1.24%1.29%
328.6 GBX -0.73%-1.26%+2.16%1.26%
75.6 NOK -0.26%+3.14%-4.11%1.17%
28.14 EUR -1.05%+0.93%+8.17%1.14%
705 GBX +1.08%+5.59%+10.94%1.09%
3,581 JPY -0.67%+1.99%+38.24%1.02%
175.2 EUR -0.40%-0.08%+3.11%1.01%
50.2 EUR 0.00%-4.56%+2.81%0.96%
70 CHF -0.36%-0.92%-3.78%0.94%
213.5 EUR -0.74%+2.08%+17.45%0.90%
841.2 DKK +0.57%-8.23%+8.96%0.89%
985.6 GBX +0.92%+0.08%-8.61%0.88%
767 EUR -0.96%-4.08%+4.55%0.83%
440.7 CHF -0.79%-2.89%+0.25%0.82%
5,050 JPY +1.55%+5.01%+43.10%0.81%
3,284 GBX +0.79%-2.38%+5.59%0.80%
409.9 EUR -0.56%-5.77%+9.28%0.75%
1,515 JPY +1.03%+2.61%+20.29%0.73%
110.1 EUR -0.14%-1.26%-3.17%0.73%
1,586 JPY +0.09%+0.54%+10.41%0.72%
7,331 JPY +2.80%+10.08%+27.12%0.72%
3,544 JPY -2.48%+1.37%+57.27%0.72%
9,056 GBX +2.44%+0.64%-2.35%0.71%
3,008 JPY -0.33%-0.73%+24.68%0.70%
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ETF Ratings

Description

CA31624M1023
Total Expense Ratio 0.51%
Asset Class
Sector
Size
Currency
Provider
Underlying Fidelity Canada International Low Volatility GTR Index - CAD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
24/01/2019
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 54 M€
AuM 1M 43 M€
AuM 3 months 29 M€
AuM 6 months 22 M€
AuM 12 months 14 M€
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  4. Components Fidelity International Low Volatility Index ETF - CAD