Components Purpose Enhanced Dividend Fund ETF - CAD Hedged

ETF

PDIV

CA74640V1022

Delayed Toronto S.E. 07:16:51 01/05/2024 pm IST 5-day change 1st Jan Change
9.21 CAD -0.11% Intraday chart for Purpose Enhanced Dividend Fund ETF - CAD Hedged -1.18% -2.13%

Composition of Purpose Enhanced Dividend Fund ETF - CAD Hedged

Weight
32.17 CAD +0.19%+0.06%+9.87%2.93%
73.02 USD -3.73%-0.18%-5.94%2.69%
48.72 CAD -0.47%-0.29%+2.14%2.53%
81.23 CAD -0.54%+1.08%-5.12%2.47%
63.29 CAD +0.21%-1.29%-1.88%2.45%
48 CAD -0.91%-1.32%+5.20%2.41%
66.57 CAD -1.06%+0.53%+11.71%2.40%
162.1 USD -0.31%-3.31%+4.69%2.39%
49.24 CAD -0.16%+0.14%-4.87%2.24%
71.86 CAD -1.01%+0.31%-3.74%2.20%
110.6 CAD +0.02%-1.11%+9.47%2.13%
117.4 USD -0.70%-2.49%+18.05%2.06%
45.24 CAD +0.02%-0.09%-13.26%2.05%
38.48 CAD -0.21%+1.64%-3.10%2.03%
64.12 CAD -0.21%-1.63%+0.47%1.98%
1,268 USD -2.46%+0.81%+13.50%1.94%
64.15 USD +1.26%+0.89%+17.16%1.91%
162.8 USD -0.24%+0.20%+11.18%1.88%
133.2 CAD -0.01%-0.08%-0.60%1.88%
129 USD -0.18%+1.43%+18.16%1.87%
122.9 CAD -0.05%-3.40%-6.25%1.81%
70.29 CAD 0.00%-0.89%+2.20%1.74%
65.24 USD +0.05%-2.68%-19.42%1.68%
462.8 USD -0.46%+0.74%+2.05%1.59%
47.28 USD +0.65%-2.57%-6.76%1.56%
26.38 USD -1.80%-4.98%-16.32%1.42%
36.71 CAD +0.08%-1.08%-3.11%1.34%
166 CAD -0.67%-1.50%-0.43%1.32%
46.25 CAD -0.39%-0.73%-8.01%1.31%
174.9 USD -0.57%-1.71%+2.68%1.23%
227 CAD +0.31%+2.74%+11.32%1.22%
51.62 CAD +0.10%-1.59%-17.02%1.15%
160.6 USD -0.42%-1.73%+7.76%1.15%
272.1 USD -0.33%-1.58%-8.14%1.11%
125.2 USD -0.32%-3.10%+7.93%1.07%
171 USD +0.37%+0.90%-11.42%1.03%
65.76 CAD -0.06%-2.46%-16.00%0.98%
35.26 USD -0.14%-2.78%-16.66%0.92%
181.2 CAD +0.03%-0.53%+10.16%0.76%
9.04 CAD +1.80%0.00%+12.72%0.76%
22.13 CAD +0.09%+0.55%-6.15%0.72%
836.7 USD -3.16%+4.76%+68.54%0.71%
149.5 USD +3.42%+0.88%-4.40%0.60%
164.9 USD -0.79%-10.47%+0.78%0.50%
44.14 USD +0.44%-10.12%-14.41%0.47%
91.36 USD -0.61%+2.80%+14.61%0.44%
61.64 USD -0.22%-0.28%+4.16%0.42%
175.5 USD -0.54%+0.46%+3.02%0.27%
16.84 USD -0.33%+0.24%+0.42%0.26%
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Description

CA74640V1022
Total Expense Ratio 0.78%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Date of creation
18/10/2017
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 19 M€
AuM 1M 17 M€
AuM 3 months 16 M€
AuM 6 months 15 M€
AuM 12 months 12 M€
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  4. Components Purpose Enhanced Dividend Fund ETF - CAD Hedged