Components BMO NASDAQ 100 Equity Index ETF - CAD

ETF

ZNQ

CA05586P1053

Delayed Toronto S.E. 10:38:23 2024-04-29 am EDT 5-day change 1st Jan Change
78.5 CAD +0.19% Intraday chart for BMO NASDAQ 100 Equity Index ETF - CAD +2.90% +8.95%

Composition of BMO NASDAQ 100 Equity Index ETF - CAD

Weight
120.4 USD +0.32%-0.68%+1.09%-.--%
33.88 USD -0.31%-2.17%-2.31%-.--%
17.8 USD +0.54%-2.18%-31.74%-.--%
294.5 USD +1.06%+4.73%+0.04%-.--%
175.7 USD +0.09%-0.40%+3.48%-.--%
67.1 USD +0.25%-1.28%-10.86%-.--%
38.76 USD +0.51%-4.56%-11.70%-.--%
189 USD +0.35%+3.29%+61.91%-.--%
71.14 USD +0.74%+2.40%-1.87%-.--%
1,035 USD -0.84%-5.19%+8.92%-.--%
129.4 USD -1.59%+6.28%+6.89%-.--%
281.1 USD -0.47%-1.35%+3.23%-.--%
205.3 USD -1.18%+1.17%+32.16%-.--%
33.76 USD +0.10%+6.61%+1.62%-.--%
132.7 USD +0.47%+4.47%+34.46%-.--%
166.9 USD +0.73%+4.05%+15.23%-.--%
3.175 USD +5.13%+1.12%-42.14%-.--%
93.06 USD -0.58%+11.67%+3.44%-.--%
144.9 USD +0.27%+3.65%-9.87%-.--%
193 USD -0.25%-1.23%-7.89%-.--%
505.4 USD +1.21%+5.18%-9.12%-.--%
31.4 USD -1.52%-8.99%-37.68%-.--%
178.7 USD +0.95%+4.55%-19.32%-.--%
543.6 USD -0.00%+5.55%+5.67%-.--%
243.9 USD +0.49%+11.77%+6.41%-.--%
475.8 USD -0.37%+2.05%-20.14%-.--%
88.25 USD 0.00%+0.08%-8.08%-.--%
179.5 USD -0.04%+1.90%+18.87%-.--%
86 USD +0.87%+1.48%+6.08%-.--%
273.2 USD +1.18%+0.27%-5.34%-.--%
174.6 USD +3.12%+5.51%-9.12%-.--%
1,333 USD -0.82%+9.06%+19.63%-.--%
218.6 USD +4.63%+12.47%-15.64%-.--%
222.5 USD +0.63%-0.73%-7.25%-.--%
203.1 USD -0.12%+7.20%+25.32%-.--%
177.3 USD -1.20%-9.27%-25.90%-.--%
557.1 USD -0.73%+0.35%+14.30%-.--%
401.2 USD -1.26%+0.17%+6.81%8.55%
434 USD -2.09%-9.35%+23.38%3.87%
189.6 USD +12.64%+33.25%-23.83%3.75%
869.3 USD -0.92%+9.28%+75.48%3.74%
167.9 USD -2.34%+7.49%+20.26%2.54%
721.2 USD -1.10%+0.93%+9.40%2.33%
159.8 USD +1.55%+7.29%+8.18%1.90%
47.96 USD +0.22%-0.36%-5.06%1.62%
164.5 USD +0.33%+1.08%+2.36%1.46%
642.7 USD +0.96%+5.47%+2.90%1.40%
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Description

CA05586P1053
Total Expense Ratio 0.39%
Asset Class
Sector
Size
Currency
Provider
Underlying NASDAQ-100 Total Return Index - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2019-02-14
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 541 M€
AuM 1M 406 M€
AuM 3 months 327 M€
AuM 6 months 277 M€
AuM 12 months 301 M€
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