Components TD Q International Low Volatility ETF - CAD

ETF

TILV

CA87241K1012

Market Closed - Toronto S.E. 11:22:53 10/05/2024 pm IST 5-day change 1st Jan Change
15.76 CAD +0.96% Intraday chart for TD Q International Low Volatility ETF - CAD +1.74% +5.00%

Composition of TD Q International Low Volatility ETF - CAD

Weight
35.38 SGD +0.03%-1.53%+16.49%1.54%
65.9 HKD 0.00%+4.52%+2.25%1.54%
160 JPY -0.12%-5.54%-6.91%1.50%
14.33 SGD +0.35%+0.70%+10.46%1.49%
455.1 CHF -0.50%+2.04%+3.53%1.46%
1,114 GBX -0.27%+3.72%+5.29%1.45%
4,412 JPY -1.28%+1.42%-1.03%1.45%
8,133 JPY +1.66%+1.79%+30.67%1.45%
3,411 GBX -1.39%+1.58%+9.68%1.45%
93.07 CHF +0.81%+5.64%+9.66%1.43%
4,314 GBX +0.61%+3.01%+13.53%1.43%
4,916 JPY -2.40%-2.34%+39.76%1.43%
4,331 JPY -1.01%+0.91%+19.26%1.42%
1,856 JPY -0.59%-2.95%-9.55%1.42%
3,382 JPY +0.48%-5.53%+31.25%1.40%
3.438 EUR +0.88%+2.23%+10.26%1.40%
281.4 AUD +0.52%+0.39%-2.10%1.35%
95 CHF -0.19%+3.98%-2.57%1.35%
506 CHF +1.00%+2.26%0.00%1.34%
10.64 EUR +0.61%+2.06%+3.26%1.34%
4,104 CHF +1.26%+2.88%+17.80%1.31%
4,599 GBX +0.04%+2.75%-15.15%1.29%
29.86 EUR +0.57%+6.34%+14.78%1.25%
9.28 SGD -0.32%+0.32%-5.60%1.23%
22.01 EUR +0.18%+1.24%+1.20%1.21%
60 EUR +0.84%+3.27%+2.25%1.20%
707 JPY -0.98%+1.37%+27.64%1.19%
28.55 HKD -0.17%+5.93%-5.61%1.18%
6,842 JPY -1.64%+0.19%+17.84%1.18%
3,066 JPY -0.33%+2.33%+27.50%1.15%
1.95 SGD 0.00%+1.56%-5.34%1.15%
3 USD -12.28%-18.70%-17.81%1.13%
30.88 AUD -0.44%-0.06%-16.96%1.11%
12,318 GBX -0.42%+2.22%+16.21%1.11%
82.3 NOK -0.30%+2.30%+4.39%1.10%
2,832 GBX -0.65%+3.76%-0.86%1.08%
2.6 SGD -0.38%+1.16%-13.86%1.07%
2,377 JPY -1.63%-5.30%+27.43%1.04%
85.4 CHF -0.23%-1.10%-4.95%1.00%
25.1 HKD -0.20%+4.14%+18.63%0.94%
3.18 SGD 0.00%+0.31%-10.64%0.93%
16.79 EUR +1.82%+6.67%+1.36%0.92%
3,062 JPY -3.07%-0.99%+34.64%0.92%
1,564 CHF +2.02%+2.83%+10.22%0.91%
2.4 SGD -0.41%+1.26%-2.82%0.90%
147.8 EUR -1.07%+4.56%-7.51%0.85%
126.5 NOK +0.16%-3.58%+8.49%0.85%
909.9 DKK +3.02%+6.87%+30.34%0.84%
3.73 EUR -3.02%+6.33%-18.11%0.84%
4.34 NZD -0.91%-3.34%-16.22%0.82%
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Description

CA87241K1012
Total Expense Ratio 0.40%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
08/05/2019
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 46 M€
AuM 1M 46 M€
AuM 3 months 42 M€
AuM 6 months 36 M€
AuM 12 months 44 M€
  1. Stock Market
  2. ETF
  3. TILV ETF
  4. Components TD Q International Low Volatility ETF - CAD
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