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
36.95 CAD +0.96%-1.81%+5.54%0.22%
4,257 JPY +1.12%+1.99%+33.66%0.22%
18.39 USD -1.13%-3.21%-5.60%0.22%
34.85 BRL -0.43%+0.66%-9.20%0.22%
262.5 TWD -2.05%-2.42%-5.58%0.22%
38,050 KRW -1.93%+0.53%-1.17%0.22%
26.76 EUR -0.37%+1.29%+9.31%0.21%
5.415 EUR +0.28%+1.79%+4.54%0.21%
13.91 EUR +0.14%-0.57%+11.73%0.21%
85.3 TWD +0.83%-0.23%+40.99%0.20%
22.2 AUD -0.98%+0.95%-12.87%0.20%
9.77 HKD +3.39%+10.90%-19.39%0.20%
4.526 EUR +0.49%+2.26%-2.77%0.20%
50.88 BRL -8.49%-2.15%-26.93%0.20%
13.25 AUD -1.71%+1.77%-15.98%0.20%
603 TWD +2.03%+1.86%+16.63%0.20%
52.56 USD +0.04%+1.53%+3.28%0.19%
14,580 KRW -0.41%+1.67%+12.15%0.19%
1,910 CLP +0.27%+1.39%+12.36%0.19%
184.8 ZAR -0.11%+3.35%-9.65%0.19%
30.05 CAD +0.81%-1.12%-5.80%0.19%
515 GBX -2.00%-1.06%-3.77%0.19%
32.79 USD -0.79%-0.73%-3.16%0.19%
6,785 CLP -0.96%-5.10%-5.76%0.18%
13.4 BRL -4.41%-3.18%-31.84%0.18%
799.5 GBX +1.01%+2.57%+4.44%0.18%
68.06 EUR -0.38%-0.19%+8.81%0.18%
26.05 USD +0.70%+1.48%+22.53%0.18%
13,900 KRW -0.57%+0.43%+17.20%0.17%
442.6 INR +2.22%+12.16%+71.20%0.17%
15.92 CAD +0.95%+5.43%+32.23%0.17%
38.38 USD -0.16%-0.10%+7.39%0.17%
6.44 BRL +1.26%+8.60%-8.91%0.17%
10.41 BRL -18.24%+2.76%+17.88%0.17%
7.38 EUR -0.47%+3.22%-13.28%0.17%
22,300 IDR +0.68%+0.90%-1.44%0.17%
7.96 BRL -22.10%0.00%-14.32%0.16%
589.4 INR +1.05%+29.22%+85.33%0.16%
32.81 ZAR +0.21%+4.16%+5.30%0.16%
532.6 ZAR +0.39%+8.10%-13.36%0.16%
35.85 HKD +0.14%+4.22%+34.02%0.15%
7.375 EUR -0.34%+3.15%+2.57%0.15%
87.6 TWD +1.27%-2.23%+7.35%0.15%
19.55 BRL +1.07%+2.14%-1.26%0.15%
81.26 ZAR +0.82%+5.93%+9.29%0.15%
766.5 ZAR +1.52%+11.70%-20.49%0.14%
10.81 EUR +0.42%+2.22%+4.91%0.14%
639.4 INR +0.24%+3.56%+71.80%0.14%
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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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