Components Vanguard FTSE Canadian High Dividend Yield Index ETF - CAD

ETF

VDYIF

CA92203Q1046

Delayed OTC Markets 11:48:04 30/04/2024 pm IST 5-day change 1st Jan Change
31.6 USD -3.06% Intraday chart for Vanguard FTSE Canadian High Dividend Yield Index ETF - CAD -.--% -.--%

Composition of Vanguard FTSE Canadian High Dividend Yield Index ETF - CAD

Weight
146.7 CAD -0.94%+2.37%+9.48%14.25%
75.67 CAD +0.33%-0.16%-11.63%11.80%
49.21 CAD -0.97%-0.28%+3.12%7.64%
119.8 CAD -1.25%-8.63%-8.64%7.16%
97.96 CAD -1.95%-7.32%+12.82%7.03%
64.32 CAD -0.09%-1.11%-0.28%5.89%
67.73 CAD -0.56%+2.27%+6.13%4.37%
51.25 CAD -2.22%-7.74%+20.71%4.18%
52.36 CAD +0.10%+0.08%+1.06%4.04%
35.2 CAD -0.33%-1.65%+20.22%4.03%
46.74 CAD -0.23%+1.99%-10.39%3.60%
67.63 CAD -0.25%-1.93%-1.59%3.05%
22.56 CAD +0.56%+1.69%-4.09%2.60%
118.2 CAD +0.89%+4.65%+17.10%2.57%
69.88 USD -0.29%+4.03%-10.48%2.41%
55.05 CAD +1.21%+2.67%+0.97%2.00%
50.01 CAD -0.54%-0.40%+9.56%1.90%
39.38 CAD -0.33%-1.09%+3.92%1.51%
47.65 CAD -0.33%-0.15%-5.31%1.05%
41.11 CAD +0.15%-2.58%-6.32%0.90%
31.43 CAD +1.49%+2.66%+12.89%0.59%
14.98 CAD -3.91%-11.67%+38.28%0.56%
35.78 CAD -0.47%-0.28%+11.71%0.55%
38.81 CAD +0.73%-2.29%-9.13%0.44%
8.47 CAD -1.40%-2.70%+1.38%0.43%
3.68 CAD -4.91%-5.40%-12.17%0.41%
43.13 CAD +0.14%-0.85%+13.06%0.38%
26.15 CAD -0.95%-1.28%+12.72%0.37%
38.82 CAD -0.37%+1.54%+2.59%0.33%
25.41 CAD +0.43%-6.10%-17.75%0.22%
39.85 CAD -0.52%-0.50%+3.08%0.22%
22.6 CAD -0.92%+0.18%+12.17%0.22%
36.2 CAD +0.11%-0.74%+3.31%0.22%
12.64 CAD +2.35%+2.10%+7.76%0.21%
37.94 CAD +4.23%-0.52%-15.83%0.21%
9.815 CAD -3.01%-8.05%+10.71%0.20%
21.16 CAD -1.19%-8.04%-15.19%0.19%
14.63 CAD +0.21%+1.95%-1.55%0.17%
30.85 CAD -2.16%-5.43%+18.97%0.15%
38.77 CAD +2.08%+3.12%-1.38%0.14%
22.3 CAD -0.67%-1.24%+15.07%0.13%
9.295 CAD -0.59%-0.21%-3.53%0.13%
10.3 CAD +4.04%+13.76%+12.02%0.11%
25.26 CAD -0.75%-6.48%-9.36%0.09%
9.65 CAD 0.00%+2.12%-24.19%0.09%
12.84 CAD +0.12%-1.31%-8.55%0.09%
53.43 CAD -0.22%-2.00%-9.97%0.08%
22.54 CAD -0.27%-3.26%-17.80%0.08%
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ETF Ratings

Description

CA92203Q1046
Total Expense Ratio 0.22%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Canada High Dividend Yield Net Tax Index - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
01/11/2012
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 1,693 M€
AuM 1M 1,720 M€
AuM 3 months 1,623 M€
AuM 6 months 1,397 M€
AuM 12 months 1,434 M€
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