Components iShares Global Water Index ETF - CAD

ETF

CWW

CA46430V1040

Market Closed - Toronto S.E. 01:24:34 04/05/2024 am IST 5-day change 1st Jan Change
57 CAD +1.75% Intraday chart for iShares Global Water Index ETF - CAD +4.07% +10.89%

Composition of iShares Global Water Index ETF - CAD

Weight
137.2 USD +0.90%+3.63%+19.98%8.64%
128.8 USD +2.22%+6.60%-2.45%7.54%
1,073 GBX +2.29%+4.17%+1.27%5.57%
2,517 GBX +1.61%+3.07%-2.40%5.45%
406.6 SAR +1.65%-3.00%+58.53%4.51%
506.2 CHF +2.93%+2.16%-6.09%4.36%
114.5 CAD +0.06%+2.43%+7.65%4.20%
227.5 USD +0.33%+2.89%+14.70%4.08%
79.61 USD +0.96%-0.44%+9.49%3.87%
37.78 USD +0.27%+4.68%+1.15%3.81%
207.6 USD +1.65%+7.86%+24.39%3.52%
164.9 USD +1.82%+1.35%+17.24%3.43%
80.8 BRL -0.67%-1.82%+7.20%3.20%
65.7 CHF +2.90%+1.78%+7.53%2.10%
204.7 USD +0.65%+1.58%-1.75%2.01%
426.4 CHF +0.42%+0.24%-8.06%1.91%
50.57 USD +0.80%+5.51%-2.51%1.81%
73.53 USD +1.02%+5.18%-8.57%1.80%
246.2 USD +0.67%+17.25%+5.44%1.73%
189 USD +0.92%+1.88%+22.43%1.60%
698.5 GBX +1.38%+6.48%-7.05%1.51%
58.52 USD +1.12%+2.09%+44.82%1.50%
41.48 EUR +2.88%+0.48%-11.50%1.49%
45.24 EUR +1.66%+1.66%+15.23%1.49%
6,277 JPY -0.27%+4.25%+13.71%1.48%
31.64 USD +0.03%-0.19%+7.58%1.47%
98.83 USD +0.11%-3.83%+2.26%1.36%
4,958 INR +3.02%+15.20%+9.13%1.25%
34.34 EUR +2.26%+3.50%+13.63%1.24%
55.53 USD +0.91%+3.79%-15.03%1.14%
2,070 INR +0.32%+2.93%+8.49%0.96%
57,400 KRW +0.70%+2.68%+0.35%0.84%
16.23 USD +0.31%+1.56%+12.71%0.79%
28.52 MXN +1.35%-11.15%-24.19%0.76%
53.12 USD +1.34%+8.01%-19.05%0.70%
113.4 CHF +1.07%+2.53%+32.01%0.61%
1.99 HKD +0.51%+0.51%+14.37%0.61%
44.51 USD +0.54%+3.25%+38.53%0.54%
118.3 USD -1.33%+1.76%-8.42%0.50%
19.38 BRL -1.07%-10.15%-5.37%0.48%
7,980 JPY +7.26%+9.62%+36.64%0.38%
13.65 USD +4.68%-3.87%-27.55%0.37%
9.16 USD +1.22%-3.38%+20.69%0.37%
3.95 USD +4.22%-13.38%-12.61%0.32%
575.2 INR +3.52%+5.06%+39.61%0.20%
3.66 HKD +1.39%+17.31%-10.29%0.19%
559 INR -0.10%+0.35%-0.52%0.19%
2.9 CNY -0.34%+1.05%+7.81%0.14%
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ETF Ratings

Description

CA46430V1040
Total Expense Ratio 0.66%
Asset Class
Sector
Size
Currency
Provider
Underlying S&P Global Water Total Return Index - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
04/06/2007
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 223 M€
AuM 1M 218 M€
AuM 3 months 220 M€
AuM 6 months 203 M€
AuM 12 months 221 M€
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