Components Invesco FTSE RAFI Global Small-Mid ETF - USD

ETF

PZW.U

CA46140D2041

Market Closed - Toronto S.E. 07:51:00 14/03/2024 pm IST 5-day change 1st Jan Change
24 USD +3.49% Intraday chart for Invesco FTSE RAFI Global Small-Mid ETF - USD -.--% -.--%

Composition of Invesco FTSE RAFI Global Small-Mid ETF - USD

Weight
93 USD -1.90%+17.47%+93.63%0.26%
858.8 USD -3.54%+12.72%+202.12%0.26%
82.92 USD -1.00%+9.65%+56.63%0.23%
31.88 USD -4.61%-2.69%-35.12%0.19%
1.99 USD -6.35%-10.76%-55.58%0.19%
20.47 USD -4.44%-0.49%-21.48%0.17%
70.57 USD -3.32%-0.86%+77.09%0.17%
15.6 USD -3.64%-1.14%-13.48%0.16%
125.5 EUR -1.38%-6.03%-8.02%0.15%
70.75 USD -3.41%-0.20%+52.48%0.15%
16,590 JPY +2.28%+3.53%+39.06%0.15%
6.79 USD -1.74%-2.02%+16.67%0.15%
129.3 USD -2.16%-0.08%+30.71%0.14%
396.8 USD -4.63%-27.36%-9.45%0.14%
92.63 USD -3.05%+4.02%+55.16%0.14%
82.76 USD -5.82%-1.51%-17.68%0.14%
327.1 USD -4.20%+1.68%-3.48%0.13%
2.36 USD -1.67%-2.07%-36.90%0.13%
28.03 USD -1.30%+0.54%-17.05%0.13%
173.9 USD -1.01%+2.75%-12.17%0.13%
49.39 USD -3.21%-7.66%+11.79%0.13%
105.9 USD -1.83%-2.19%+22.24%0.13%
147.8 USD -2.62%-1.61%-5.01%0.13%
12.03 USD -2.12%-3.14%-11.02%0.13%
1,89,000 KRW +2.89%+5.76%-6.20%0.12%
290.9 USD -0.86%-0.89%-1.35%0.12%
33.45 USD -0.98%+1.30%-9.69%0.12%
79.32 USD -1.51%-5.35%-12.97%0.12%
104.5 USD -2.50%-3.66%+4.13%0.12%
3,813 JPY -2.28%+2.64%+18.56%0.11%
21.97 USD -3.77%+1.52%+27.96%0.11%
109.6 CAD -1.33%-0.88%+3.04%0.11%
177.4 USD -1.79%-1.66%+1.42%0.11%
19.62 CAD -5.72%-0.51%+14.07%0.11%
5,701 JPY -0.61%-1.23%-8.31%0.11%
159.1 USD -2.13%+0.13%+9.87%0.11%
5,893 JPY -0.57%-2.19%-11.57%0.11%
250.7 USD -2.94%-1.08%+23.60%0.11%
1,459 USD +1.41%+4.57%-7.18%0.11%
85.7 USD +2.35%+6.45%+21.05%0.11%
309.4 USD -0.41%+0.30%+50.44%0.11%
49.08 USD -1.94%-10.11%-12.56%0.11%
28.35 USD -0.91%-0.53%+2.27%0.11%
173.1 USD -1.66%+2.61%-9.07%0.11%
35.91 USD -3.91%-1.83%+17.97%0.11%
62.06 USD -2.76%+3.04%-0.58%0.11%
76.02 USD -2.81%-2.06%-8.01%0.11%
59.35 USD +0.97%-6.58%-19.78%0.11%
6.95 USD -0.71%+1.16%-30.15%0.11%
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Description

CA46140D2041
Total Expense Ratio 0.50%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
20/04/2015
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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  4. Components Invesco FTSE RAFI Global Small-Mid ETF - USD