Components iShares Global Monthly Dividend Index ETF CAD-Hedged - CAD

ETF

CYH

CA46433E1097

Market Closed - Toronto S.E. 01:27:01 18/05/2024 am IST 5-day change 1st Jan Change
21.22 CAD -0.19% Intraday chart for iShares Global Monthly Dividend Index ETF CAD-Hedged - CAD +2.02% +6.96%

Composition of iShares Global Monthly Dividend Index ETF CAD-Hedged - CAD

Weight
29.23 USD +0.27%+1.14%+10.09%0.62%
162.7 USD +0.98%-1.68%+9.06%0.61%
92.67 USD +0.14%+1.89%+14.10%0.61%
85.5 USD -0.01%-0.09%+1.58%0.59%
32.21 USD +0.91%+3.27%+9.56%0.58%
24.28 USD +0.50%+0.58%-18.50%0.58%
31.78 USD +0.47%+1.86%-2.63%0.58%
63.24 USD +0.14%+0.02%+8.90%0.57%
78.14 USD +0.61%+2.59%+4.56%0.57%
45.47 EUR -0.61%-0.02%+27.19%0.56%
38.58 USD -0.10%+0.65%+7.47%0.55%
55.52 USD -0.59%+0.51%-10.32%0.55%
16 USD -0.56%+5.19%-10.31%0.55%
20.19 USD +0.45%+2.07%+4.18%0.55%
53.09 USD +0.61%+0.80%+17.40%0.54%
63.04 USD -0.44%+0.25%+6.97%0.54%
166.1 USD +4.77%+4.53%+27.74%0.54%
119.6 USD +1.50%+1.01%+19.66%0.54%
96.13 USD -0.54%+0.46%+11.12%0.53%
60.96 USD -0.81%-1.30%-1.23%0.53%
78.44 USD +0.80%+1.34%+9.19%0.52%
471.8 CHF +0.58%+3.58%+7.32%0.52%
28.64 USD -0.97%+1.63%-0.52%0.52%
30.73 USD -0.84%-0.16%+7.22%0.52%
63,100 KRW -0.79%+6.05%+45.39%0.51%
54.83 USD +0.59%+2.77%-1.76%0.51%
112.9 USD +0.05%-2.34%+15.98%0.51%
179.7 USD +2.80%-1.78%+21.10%0.50%
52.3 USD -1.34%+6.32%+8.12%0.50%
30.08 USD +0.47%+0.97%+5.29%0.50%
3.69 USD +0.54%+2.79%-63.93%0.49%
131.2 USD +0.24%+0.74%+20.34%0.49%
74.22 USD +1.02%+2.32%+12.23%0.49%
80,100 KRW -1.11%+4.57%+48.06%0.49%
85.16 USD +1.04%+1.99%+8.24%0.48%
14.64 EUR +0.52%+11.63%+12.06%0.48%
36.96 USD +0.35%+1.40%+5.81%0.47%
27.02 SEK +1.89%+6.59%+5.01%0.47%
272.4 USD -0.41%+1.65%-8.14%0.46%
91.38 USD -0.65%-3.96%-24.96%0.45%
544 INR +0.53%+6.39%+31.75%0.44%
25.02 EUR +0.72%+2.63%-7.33%0.44%
42.25 HKD +1.08%+6.69%+0.96%0.43%
57.15 AUD -0.95%-0.17%+7.77%0.43%
50.43 CAD +0.52%+4.45%+0.26%0.43%
466.2 USD +0.29%-0.47%+2.86%0.43%
42.77 CAD +0.35%-0.63%-2.49%0.42%
1,832 GBX -1.72%+1.78%-1.32%0.41%
35.61 EUR -0.95%-0.59%+4.37%0.40%
0f330e9c3d6770f4f96a02efce6.Wsdjv1OpBg3El7QXUy_9qlye5iokBbztufib-zrymoc.O58AiH7DbE-mxuJNYXDQ5xamtG9TMPq5-6_uqlir3vNptRTnF_10XYyg2w

ETF Ratings

Description

CA46433E1097
Total Expense Ratio 0.66%
Asset Class
Sector
Size
Currency
Provider
Underlying Dow Jones Global Select Dividend Composite Net Total Return Index - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
14/01/2008
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 94 M€
AuM 1M 97 M€
AuM 3 months 95 M€
AuM 6 months 86 M€
AuM 12 months 95 M€
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