Components TD Active Global Real Estate Equity ETF - CAD

ETF

TGRE

CA87808T1075

Delayed Toronto S.E. 01:09:14 02/05/2024 am IST 5-day change 1st Jan Change
13.3 CAD +0.38% Intraday chart for TD Active Global Real Estate Equity ETF - CAD +0.68% -4.18%

Composition of TD Active Global Real Estate Equity ETF - CAD

Weight
58.04 USD +0.90%-0.08%-7.86%-.--%
94.59 USD +0.24%+0.80%+5.08%-.--%
55.97 USD +2.45%-0.20%-13.79%-.--%
37.54 USD +0.13%-1.22%-2.05%-.--%
43.09 USD +1.65%-0.02%-23.37%-.--%
103.2 USD +1.33%-0.07%-22.52%-.--%
105 USD +0.67%+2.44%+1.96%-.--%
250 USD +1.85%+1.02%+0.72%-.--%
86.94 USD +0.78%-0.03%-6.55%-.--%
36.22 USD +0.79%+1.43%+0.86%-.--%
117 USD +0.20%-0.22%-7.68%-.--%
34 HKD +1.04%+7.42%-13.27%-.--%
4,474 JPY +0.45%+6.68%+20.63%-.--%
867.8 GBX +1.95%-0.14%-2.10%-.--%
12.94 CAD +0.27%-1.00%-7.31%-.--%
142.6 CAD -0.89%-2.97%-14.95%-.--%
205.7 CAD +2.00%-0.82%-4.21%-.--%
16.35 CAD -1.03%+1.93%-17.12%-.--%
15.42 CAD -0.26%+0.59%+27.86%-.--%
1.87 AUD -0.53%-4.59%-8.33%-.--%
10.77 EUR +1.51%+3.16%+7.06%-.--%
2.13 AUD +0.47%-4.05%-7.39%-.--%
178 USD +0.68%+2.66%-17.78%8.81%
699.1 USD +0.54%-5.42%-13.29%7.85%
77.1 USD -1.28%-0.45%+9.90%3.95%
31.77 AUD +0.83%+2.98%+25.57%3.52%
28.67 USD -0.80%+0.26%-10.21%2.91%
72.02 CAD +0.39%-1.68%+0.95%2.68%
191.2 USD +1.75%-0.20%+1.98%2.57%
1,618 JPY +1.92%+2.63%+40.41%2.19%
191.6 USD +1.31%-3.59%-24.78%2.04%
16.99 CAD -0.47%-1.34%-5.40%2.02%
4,437 JPY +0.68%+2.28%+3.86%2.01%
65.9 HKD -0.90%+7.07%-0.30%1.86%
130.5 USD -0.11%+2.59%-2.95%1.39%
22.48 USD +1.33%+3.38%-3.29%1.20%
2,642 JPY +0.63%+2.54%+25.09%1.15%
1,38,300 JPY -0.43%+0.80%-2.19%1.11%
74 HKD +1.72%+3.35%-12.37%1.04%
27.62 USD +1.23%+1.92%-5.68%1.03%
13.86 USD +0.91%+1.73%+1.65%1.01%
43.17 USD +0.09%-0.75%-12.65%0.91%
100.2 USD +1.69%+2.05%+0.94%0.89%
796 GBX +3.38%+2.91%-9.95%0.72%
28,000 CLP +2.00%+3.70%+17.40%0.54%
57c03f50d00e6b.reYGyrkr0rgqpnXlK-AUlhPZwwtom1Q4t-ln2SjR3X8.5YNPh4oS59danheOQqwsw2WApDor6h5Cgp4SkhCVqxfc3nSk_nKH1UPARQ

Description

CA87808T1075
Total Expense Ratio 0.73%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
26/11/2019
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 51 M€
AuM 1M 50 M€
AuM 3 months 51 M€
AuM 6 months 46 M€
AuM 12 months 42 M€
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