Components Accelerate Absolute Return Hedge Fund- CAD

ETF

HDGE

CA00435W1041

Market Closed - Toronto S.E. 03:37:27 2024-04-26 pm EDT 5-day change 1st Jan Change
26.29 CAD 0.00% Intraday chart for Accelerate Absolute Return Hedge Fund- CAD -1.35% +17.42%

Composition of Accelerate Absolute Return Hedge Fund- CAD

Weight
183 USD +0.98%+6.50%+14.37%2.57%
128 USD +3.49%+13.46%+30.81%2.54%
57.56 USD +2.27%+6.16%+7.89%2.49%
5.32 USD +1.14%+0.76%-35.12%2.48%
822.4 USD -1.03%+0.64%-11.41%2.47%
187.7 USD +1.30%+6.00%+12.41%2.47%
300.4 USD -0.04%+13.11%-1.44%2.46%
75.21 USD +1.66%+3.08%+1.55%2.44%
32.41 USD -0.15%+2.05%-10.89%2.44%
18.97 USD +0.32%-0.58%-34.68%2.43%
30.35 USD +0.13%+2.33%+6.30%2.41%
85.73 USD -0.49%+1.96%-14.72%2.39%
93.59 USD +0.60%+1.72%+12.08%2.38%
395.9 USD +1.58%+6.43%+29.17%2.38%
282.2 USD +0.17%+1.06%+39.84%2.35%
175.4 USD -0.26%-8.33%+0.79%2.35%
306.4 USD +0.54%+0.16%-1.75%2.35%
79.61 USD +1.35%+1.95%+13.58%2.33%
107.9 USD +0.97%+1.74%+24.52%2.33%
92.92 USD +1.36%+3.02%+0.08%2.33%
290.6 USD -0.52%-9.04%+3.91%2.33%
152.4 CAD -0.04%+2.77%+18.78%2.33%
25.73 CAD -0.35%+3.04%+30.81%2.32%
135.7 USD -0.40%+5.19%-10.60%2.32%
24.24 CAD -0.37%+2.11%-2.85%2.31%
28.88 USD +0.73%+8.29%+4.18%2.30%
168.5 USD +2.10%+5.24%+13.67%2.29%
706.3 USD +4.95%+12.43%+21.50%2.29%
203.4 USD +2.98%+7.17%+25.49%2.29%
72.48 CHF -0.25%+2.09%-9.15%2.28%
3,521 USD +0.53%+3.11%-0.74%2.28%
24 USD +0.25%0.00%+20.00%2.28%
170.4 USD +0.37%+4.16%-13.21%2.28%
23.01 USD 0.00%+2.82%+26.85%2.27%
182.8 USD +0.10%+0.09%+3.14%2.25%
5.68 CAD +5.19%+2.90%+64.64%2.24%
543.3 USD +0.62%+3.52%+17.35%2.23%
529.4 USD -0.78%-9.71%-3.01%2.23%
115 USD -0.93%+2.78%+31.58%2.22%
56.34 USD +1.95%+4.37%+1.64%2.20%
421.3 USD +0.19%+0.99%+18.17%2.20%
81.78 CAD +1.81%+2.23%+6.04%2.20%
30.8 USD -7.81%-9.25%-20.12%2.18%
1,044 USD -0.97%-4.31%+9.88%2.17%
208 USD -0.97%-3.10%+30.61%2.15%
103.2 USD -0.58%-4.60%+2.39%2.07%
132 USD +1.59%+3.80%-0.05%2.06%
364.7 USD -0.29%-1.50%+3.14%1.97%
17.53 USD +3.61%+9.09%-51.18%1.34%
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Description

CA00435W1041
Total Expense Ratio 0.36%
Asset Class
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
2019-05-09
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 17 M€
AuM 1M 19 M€
AuM 3 months 15 M€
AuM 6 months 10 M€
AuM 12 months 5 M€
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  4. Components Accelerate Absolute Return Hedge Fund- CAD