Components iShares Cybersecurity and Tech Index ETF - CAD

ETF

XHAK

CA46437U1093

Market Closed - Toronto S.E. 09:17:46 14/06/2024 pm IST 5-day change 1st Jan Change
44.5 CAD -0.58% Intraday chart for iShares Cybersecurity and Tech Index ETF - CAD 0.00% 0.00%

Composition of iShares Cybersecurity and Tech Index ETF - CAD

Weight
88.3 USD -0.67%+0.87%-2.46%4.84%
380.4 USD -1.65%-2.35%+48.98%4.77%
437.1 USD +0.41%+1.22%+34.97%4.75%
35.69 USD +0.59%+0.42%+21.07%4.67%
58.11 USD -0.99%-1.76%-0.72%4.61%
262.8 USD +0.02%+3.03%+19.97%4.55%
156.2 USD -0.74%+1.54%+22.14%4.42%
41.12 USD +1.01%+5.03%-10.73%4.23%
118 USD +0.33%+2.44%-5.07%4.11%
19.17 USD +1.86%+5.56%-30.14%4.08%
156.6 USD +0.68%-1.61%+2.47%3.93%
61.59 USD +0.28%+0.44%-4.69%3.93%
43.45 USD +0.32%+0.28%-4.04%3.89%
325.3 USD +0.80%+2.60%+10.30%3.76%
6,457 JPY +0.75%+2.90%-14.45%3.57%
0.214 EUR -.--% - - 3.35%
0.3938 CAD -17.11% - - 3.35%
- GBX -.--% - - 3.35%
- EUR -.--% - - 3.35%
- AUD -.--% - - 3.35%
- USD -.--% - - 3.35%
- AUD -.--% - - 3.35%
- EUR -.--% - - 3.35%
- NOK -.--% - - 3.35%
15.34 CAD -0.78%-.--%+27.20%3.35%
- RUB - - - 3.35%
21.1 CAD -0.24% - - 3.35%
137.7 USD -0.51%+3.68%-29.87%3.34%
88.43 USD +0.20%-0.06%-25.28%3.33%
535 TWD +0.56%-3.08%+2.29%3.21%
580.3 GBX +0.40%+0.21%+57.62%2.44%
11.12 EUR -0.47%+5.13%-20.52%2.35%
34.57 USD -2.81%-1.06%-20.87%2.01%
18.87 USD -0.32%+1.78%-8.62%1.83%
34.7 USD -0.26%0.00%+42.74%1.72%
1.02 MYR -1.92%-3.77%+25.15%1.20%
13.22 USD -0.68%-1.27%+0.38%1.12%
17.57 USD +1.33%+1.86%+5.34%0.73%
62.35 TRY +0.08%+10.27%+72.58%0.52%
12.63 USD +0.80%-1.02%+17.82%0.49%
1,226 JPY -6.20%+4.43%-13.66%0.37%
4,370 JPY +1.39%+11.91%-14.81%0.36%
60,800 KRW 0.00%+0.66%-11.76%0.33%
4ed4be502d94.y6KGZHXjGcAk12pJNPMIwZwqnRdmHAYY1BUQFW-8oqQ.pI_PAg-LfrVDpAY-ZqxcsNN1sCEFU181m0UlIw2N0cmfx8IMApt0mmOvGQ

Description

CA46437U1093
Total Expense Ratio 0.43%
Asset Class
Sector
Size
Currency
Provider
Underlying NYSE FactSet Global Cyber Security Index NTR - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
26/04/2022
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 10 M€
AuM 1M 9 M€
AuM 3 months 7 M€
AuM 6 months 4 M€
AuM 12 months 3 M€
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