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
1,55,600 JPY -1.21%-1.39%-3.23%0.10%
20.36 USD +1.82%+0.02%+32.24%0.10%
48.23 USD -1.45%-0.33%-16.30%0.10%
90.13 USD +6.45%+3.27%+12.59%0.10%
94.69 USD -2.05%-0.42%+1.98%0.10%
52.46 USD +0.65%-0.74%-8.83%0.10%
64.02 USD -0.79%-0.53%+20.14%0.10%
8.8 USD +1.73%+1.03%+21.88%0.10%
6,572 JPY +4.53%+9.02%-11.06%0.10%
2,730 JPY -1.87%-6.57%+15.68%0.10%
112.7 USD -2.12%-0.42%+19.55%0.10%
11.06 USD +0.45%-0.90%+2.41%0.10%
61.24 USD -1.65%+1.66%-33.19%0.10%
64.39 USD +0.23%+0.83%+9.60%0.10%
108.6 USD -0.22%+0.07%+43.85%0.10%
3,247 JPY +1.28%+10.09%+24.91%0.10%
105.2 USD -1.86%+5.85%-20.97%0.10%
556.9 USD -0.88%-1.48%+2.03%0.10%
50.43 USD -1.64%+0.48%+51.85%0.10%
100.2 EUR -0.74%-2.25%-0.20%0.10%
18.53 USD +0.76%+3.93%+17.20%0.10%
73.48 USD +1.18%-6.66%-3.18%0.10%
103.2 USD +0.39%+0.69%-13.23%0.10%
1,61,700 KRW +0.06%+4.12%-4.88%0.10%
267.6 USD -2.01%-0.22%-6.08%0.10%
48.84 USD +1.88%+1.77%-0.31%0.10%
102.5 USD +0.16%+4.74%-7.70%0.10%
934.2 USD -1.82%-1.41%+0.63%0.10%
10.98 USD +1.20%-1.79%-11.59%0.10%
6,400 JPY -1.37%-2.50%-13.94%0.10%
43.46 USD -0.23%+1.23%+0.67%0.10%
106.8 USD +0.73%+1.33%-2.95%0.10%
62.75 USD +1.05%+7.23%+45.32%0.10%
15.23 USD +2.77%+6.06%-4.69%0.10%
153.3 USD -4.02%-2.49%-5.67%0.10%
119 USD +1.09%+4.18%+20.10%0.10%
741 GBX +1.09%+6.17%+20.23%0.10%
102.1 USD -4.62%-0.65%-9.92%0.09%
218.4 USD +0.53%+2.86%+30.85%0.09%
60.52 USD -0.33%+0.56%+11.41%0.09%
36.14 USD +0.03%+2.15%+16.92%0.09%
71.38 USD +2.04%-2.06%-11.23%0.09%
2,215 JPY +0.27%+0.36%+7.26%0.09%
54.33 USD +1.42%+0.61%-19.30%0.09%
1.88 USD -1.57%-10.48%-78.51%0.09%
11.72 USD -3.06%-0.59%+40.70%0.09%
115.2 USD -2.26%-0.49%-4.19%0.09%
46.26 USD -2.07%+0.74%+10.59%0.09%
1,040 JPY +0.97%-1.98%+32.37%0.09%
14.75 USD +0.55%+2.72%+17.72%0.09%
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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
19/04/2015
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

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