Components iShares S&P Global Consumer Discretionary Index ETF (CAD-Hedged) - CAD

ETF

XCD

CA46434P1036

Market Closed - Toronto S.E. 12:48:23 02/05/2024 am IST 5-day change 1st Jan Change
52.22 CAD -0.70% Intraday chart for iShares S&P Global Consumer Discretionary Index ETF (CAD-Hedged) - CAD +1.16% 0.00%

Composition of iShares S&P Global Consumer Discretionary Index ETF (CAD-Hedged) - CAD

Weight
178.9 USD +2.21%+1.29%+17.72%10.08%
180 USD -1.79%+11.02%-27.56%9.95%
332 USD -0.67%-0.31%-4.21%4.59%
3,581 JPY -0.67%+1.99%+38.24%4.03%
274.3 USD +0.48%-0.87%-7.48%3.80%
775.5 EUR +0.14%-3.05%+5.67%3.74%
90.34 USD -2.08%-4.54%-16.79%2.35%
227.5 USD -0.21%-1.20%+2.23%2.27%
3,416 USD -1.05%-2.90%-3.71%2.19%
13,060 JPY -0.31%+4.52%-2.61%2.12%
74.44 USD -15.88%-16.12%-22.47%1.94%
93.82 USD -0.29%-1.53%+0.01%1.90%
129.2 CHF +1.02%+0.35%+12.14%1.27%
2,258 EUR +1.26%-4.25%+17.52%1.27%
3,139 USD -0.66%+7.24%+37.24%1.11%
156.1 USD -1.54%-4.12%+14.68%1.05%
354.4 USD -1.72%-2.79%-30.69%1.04%
1,005 USD -0.80%-8.02%+5.79%0.99%
233.9 USD -0.96%-4.18%+3.70%0.98%
71.36 EUR +0.59%-3.30%+14.48%0.98%
1,783 JPY -0.25%+1.05%+21.62%0.92%
20.18 EUR -3.35%-13.62%-4.82%0.91%
40,820 JPY -0.90%-3.22%+16.66%0.88%
44.47 USD -0.13%-1.35%+23.80%0.87%
42.46 EUR -0.92%-7.52%+7.96%0.86%
2,191 GBX -0.50%-1.61%+2.24%0.86%
12.2 USD +0.37%-5.83%+0.04%0.85%
127.8 USD -1.34%-3.61%-7.64%0.83%
197.7 USD +0.23%-3.40%+8.59%0.83%
142.5 USD -0.01%-2.49%-6.25%0.81%
2,947 USD -0.32%-1.40%+13.97%0.81%
119.1 HKD +8.77%+9.67%+45.42%0.80%
32.42 EUR +2.87%+4.99%+20.18%0.80%
66.48 AUD +0.71%+1.87%+16.55%0.78%
4,330 JPY -1.21%-7.95%-17.54%0.76%
415.9 USD +0.06%-1.04%+22.90%0.75%
152.5 USD +0.56%-1.07%+2.30%0.66%
135.3 USD -4.19%-4.57%+3.57%0.65%
224.2 EUR -0.97%-1.49%+21.90%0.60%
2,682 JPY +1.44%-3.63%+26.07%0.58%
102.4 EUR -0.05%-3.33%+2.10%0.57%
60.28 EUR +0.87%+2.17%-7.09%0.57%
15,085 GBX +1.24%+0.17%+8.46%0.55%
137.5 USD -1.51%+0.58%+6.20%0.54%
321.8 EUR +0.42%-8.14%-19.37%0.54%
225 HKD +4.36%+13.92%+4.94%0.45%
36.29 EUR +0.30%+0.75%+11.80%0.45%
69.75 USD -1.76%-2.31%-22.26%0.45%
33aa4bbcc038.6x9PJ6weCqfqGWf4U4WfDOqpjydAkI8xcjE7e-F16Ec.v1MsRs1TQZKvfCiNEPzMP5jju3csyO1GIHdDGNlAvxe7cDtd4ydB4oBYEA

ETF Ratings

Description

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
26/03/2013
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 52 M€
AuM 1M 53 M€
AuM 3 months 51 M€
AuM 6 months 48 M€
AuM 12 months 46 M€
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