Quotes Global X Cash Maximizer Corporate Class ETF - CAD

ETF

HSAV

CA3799391014

Market Closed - Toronto S.E. 01:29:59 29/06/2024 am IST 5-day change 1st Jan Change
112.2 CAD +0.10% Intraday chart for Global X Cash Maximizer Corporate Class ETF - CAD +0.30% +2.50%
Current month+0.41%
1 month+0.38%

Quotes 5-day view

Delayed Quote Toronto S.E.
Global X Cash Maximizer Corporate Class ETF - CAD(HSAV) : Historical Chart (5-day)
  25/06/2024 26/06/2024 27/06/2024 28/06/2024
Last 112.16 $ 112.29 $ 112.13 $ 112.24 $
Volume 28 915 33 131 65 381 73 172
Change +0.12% +0.12% -0.14% +0.10%
Opening 112.03 112.04 112.29 112.10
High 112.16 112.34 112.29 112.28
Low 111.91 112.04 112.08 112.10

Other stock markets

Markets Price Change Volume
HSAV Delayed quote 112.2 CAD ETF Global X Cash Maximizer Corporate Class ETF - CAD+0.10% 73,172

Performance

1 week+0.30%
Current month+0.41%
1 month+0.38%
3 months+0.73%
6 months+2.54%
Current year+2.50%
1 year+5.46%
3 years+11.04%

Volumes

markets
Daily volume
73 172
Estimated daily volume
73 172
Avg. Volume 20 sessions
79 895
Daily volume ratio
0.92
Avg. Volume 20 sessions CAD
8 967 414.80
Avg. Volume 20 sessions USD
6 550 696.51
Record volume 1
316 604
Record volume 2
309 468
Record volume 3
226 810

Highs and lows

1 week
111.79
Extreme 111.79
112.34
1 month
111.57
Extreme 111.57
112.34
3 years
101.08
Extreme 101.08
112.34

Indicators

Moving average 5 days
112.17
Moving average 20 days
111.77
Moving average 50 days
111.64
Moving average 100 days
111.25
Price spread / (MMA5)
-0.06%
Price spread / (MMA20)
-0.42%
Price spread / (MMA50)
-0.53%
Price spread / (MMA100)
-0.88%
STIM
RSI 9 days
66.90
RSI 14 days
64.21

Historical data

DateOpeningHighLowEnd-of-dayVolume

Last transactions

9ecb36f4c2e02552b8c21dd12be96c.val6p3hBD7MidKDQIUwao1O9kwp0UZN7lyZ2aZFjtx8._vARwCw2bIcaNsS1ah1u8iOL5V8TFcwz-hZEA-sZ7i38zkPUHAhB4BsHmA
DatePriceVolumeDaily volume
01:29:59 am 112.2 100 72,700
01:29:30 am 112.2 400 72,600
01:29:30 am 112.2 100 72,200
01:29:30 am 112.2 100 72,100
01:21:22 am 112.2 300 72,000
01:21:22 am 112.2 1,300 71,700
01:21:22 am 112.2 300 70,400
01:21:22 am 112.2 100 70,100
01:21:22 am 112.2 100 70,000
01:21:22 am 112.2 200 69,900

Description

CA3799391014
Total Expense Ratio 0.20%
Asset Class Fixed Income
Currency
Provider

Features and characteristics

Dividend Policy Capitalisation
Jurisdiction
Fund Structure
Date of creation
06/02/2020
Credit Rating
Geographical Focus

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 1,523 M€
AuM 1M 1,524 M€
AuM 3 months 1,513 M€
AuM 6 months 1,495 M€
AuM 12 months 1,479 M€
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