Components AGF Systematic Canadian Equity ETF - CAD

ETF

QCD

CA00848G1000

Delayed Toronto S.E. 5-day change 1st Jan Change
- CAD -.--% Intraday chart for AGF Systematic Canadian Equity ETF - CAD -0.23% +5.72%

Composition of AGF Systematic Canadian Equity ETF - CAD

Weight
142.3 CAD -0.41%-2.69%+6.18%7.13%
3,771 CAD -0.76%-2.55%+14.79%5.99%
115 CAD +0.10%-1.09%-12.31%3.95%
73.88 CAD -0.87%-2.73%-13.71%3.93%
165.7 CAD -0.94%-3.16%-0.50%3.63%
49.97 CAD -0.58%-4.84%+17.71%3.41%
172.8 USD +2.50%+3.00%+15.78%3.02%
66.52 USD -1.68%+5.57%-14.61%2.80%
76.74 CAD +1.11%-1.54%-1.65%2.52%
46.25 CAD +0.34%-5.24%+6.55%2.43%
56.38 CAD +0.25%-1.66%+6.08%2.32%
44.82 CAD -0.80%-3.90%-14.09%2.27%
47.83 CAD -0.87%-2.55%+0.27%2.19%
25.06 CAD 0.00%-6.11%+13.50%2.19%
38.2 CAD -0.65%-4.86%+0.82%1.71%
51.8 CAD -0.25%-1.41%-16.49%1.66%
10.16 CAD -0.29%-2.03%+26.68%1.56%
85.53 CAD +0.41%-2.80%-5.31%1.56%
30.08 CAD -1.28%-2.65%+8.12%1.55%
137.5 CAD +0.44%-1.65%-3.16%1.52%
34.98 CAD +1.39%-3.13%+19.47%1.49%
53.25 CAD -0.82%-2.97%-2.31%1.46%
23.98 CAD -0.95%-4.61%+11.22%1.45%
157.1 CAD +0.46%-1.64%+22.44%1.44%
63.65 CAD -0.08%-0.34%-1.32%1.42%
29.32 USD +1.88%+3.71%-30.22%1.33%
58.84 CAD +1.50%-2.05%-24.84%1.32%
39.13 CAD -0.74%-3.74%-1.44%1.22%
31.71 CAD -1.25%-3.12%-9.53%1.00%
65.15 CAD -0.24%-2.92%+2.12%0.96%
88.53 CAD +0.48%-2.17%+17.29%0.85%
220.8 CAD -0.72%-4.03%+8.30%0.79%
64.25 USD 0.00%-1.52%+17.14%0.71%
30.88 CAD -0.74%-5.42%+19.09%0.67%
89.69 CAD +2.14%+2.04%+2.82%0.66%
52.45 CAD -1.50%-2.38%+1.33%0.64%
14.75 CAD +0.34%-4.10%+22.51%0.64%
65.65 CAD +0.47%-3.56%-4.47%0.60%
90.03 CAD -0.03%-5.51%+25.11%0.59%
38.61 CAD -2.08%-4.03%-0.16%0.59%
17.43 CAD -0.29%-4.96%+35.64%0.59%
22.87 CAD +1.24%-1.29%+18.01%0.58%
12.51 CAD -0.24%-0.40%-10.39%0.58%
190.4 CAD +0.59%-2.24%+15.77%0.57%
12.59 CAD -0.94%-1.02%-9.75%0.57%
21.36 CAD +0.19%-3.57%-14.39%0.57%
189.6 CAD +0.38%-3.95%+5.20%0.56%
29.31 CAD -0.37%+1.28%-8.12%0.56%
19.99 CAD -1.53%-3.20%+16.22%0.54%
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Description

CA00848G1000
Total Expense Ratio 0.45%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Date of creation
2017-01-28
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 1 M€
AuM 1M 33 M€
AuM 3 months 33 M€
AuM 6 months 31 M€
AuM 12 months 42 M€
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