Components Invesco Low Volatility Portfolio ETF - CAD

ETF

PLV

CA46140L1076

Market Closed - Toronto S.E. 09:34:20 13/05/2024 pm IST 5-day change 1st Jan Change
23.29 CAD +0.34% Intraday chart for Invesco Low Volatility Portfolio ETF - CAD +1.79% +4.39%

Composition of Invesco Low Volatility Portfolio ETF - CAD

Weight
34.24 BRL +0.71%+4.97%+1.75%-.--%
69.7 AUD +0.94%+2.48%+22.19%-.--%
22.9 CAD +0.57%+0.53%-8.00%-.--%
81.55 CHF +0.46%-0.78%+12.49%-.--%
50.68 CAD +0.16%+1.20%+11.09%-.--%
38.83 CAD -1.17%-1.62%+2.48%-.--%
71.25 EUR -0.42%+1.86%+0.04%-.--%
61.08 EUR +0.03%+3.60%+4.55%-.--%
55.92 CAD +0.49%+0.79%+2.59%-.--%
189.6 CAD -0.56%-0.48%+15.25%-.--%
34.47 USD +1.17%+6.45%-0.69%-.--%
12.31 BRL +1.23%+1.15%-10.34%-.--%
463.3 CHF +2.21%+1.20%+5.30%-.--%
202.8 CAD -0.09%-2.25%-5.52%-.--%
43.96 BRL -0.61%+0.83%-3.02%-.--%
47.03 CAD +0.84%+1.88%-9.85%-.--%
10.27 BRL -0.10%+1.78%-0.96%-.--%
116 CAD +0.34%+1.27%+14.83%-.--%
27.06 BRL -0.04%+3.12%-7.96%-.--%
17.12 BRL +1.42%-0.41%-4.52%-.--%
17.79 CAD +2.01%+3.43%-0.95%-.--%
45.85 BRL +1.19%-2.32%-14.20%-.--%
143.5 CAD +0.83%+2.59%+7.10%-.--%
76.71 CAD +0.63%+2.25%-1.69%-.--%
79.41 CHF +0.04%-2.60%+20.39%-.--%
92.86 CHF -0.47%+0.67%+9.51%-.--%
36.2 CAD +0.22%+3.02%+13.02%-.--%
41.81 ZAR +0.82%+3.75%-0.92%-.--%
73.05 CAD +0.04%+0.41%+2.40%-.--%
1,799 CLP +1.93%+2.51%+8.70%-.--%
12.99 CAD +0.15%+0.23%-6.95%-.--%
16.6 AED +0.61%-0.60%-4.05%-.--%
238.4 CAD -7.14%-9.35%-14.39%-.--%
12.22 AED +0.16%-2.08%-12.46%-.--%
31.84 CAD -0.62%+0.89%-0.16%-.--%
132.7 CAD +1.54%-1.01%+19.17%-.--%
13.77 CAD +0.22%-0.86%-6.01%-.--%
14.45 AUD +0.70%+0.84%+6.25%-.--%
8.33 AED -0.83%-1.30%-9.26%-.--%
142 CAD +1.55%-0.01%0.00%-.--%
226.1 CAD +0.09%-2.74%+10.91%-.--%
3.71 AUD -0.54%+1.92%+4.21%-.--%
34.56 AUD +2.40%+3.10%+12.57%-.--%
18.79 AUD +0.91%+2.12%+17.88%-.--%
5.83 AUD 0.00%-0.17%+0.17%-.--%
32.57 AUD +0.99%+1.12%-0.61%-.--%
17.71 CAD +0.97%+0.28%-4.89%-.--%
39.19 AUD +3.24%-1.31%+6.21%-.--%
12.48 AUD +1.55%-2.80%-8.97%-.--%
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Description

CA46140L1076
Total Expense Ratio 0.39%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
05/05/2015
Dividend Policy
Credit Rating
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 11 M€
AuM 1M 11 M€
AuM 3 months 13 M€
AuM 6 months 14 M€
AuM 12 months 25 M€
  1. Stock Market
  2. ETF
  3. PLV ETF
  4. Components Invesco Low Volatility Portfolio ETF - CAD
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