Components CI WisdomTree International Quality Dividend Growth Variably Hedged Index ETF - CAD

ETF

DQI

CA17166R1047

Delayed Toronto S.E. 5-day change 1st Jan Change
- CAD -.--% Intraday chart for CI WisdomTree International Quality Dividend Growth Variably Hedged Index ETF - CAD -0.31% +8.46%

Composition of CI WisdomTree International Quality Dividend Growth Variably Hedged Index ETF - CAD

Weight
7,312 JPY +1.33%+3.31%+8.86%0.44%
64.92 EUR +0.25%-0.79%+16.55%0.44%
4.04 SGD 0.00%+2.28%+3.86%0.43%
422.5 USD +2.49%+3.38%+24.83%0.43%
9,120 GBX +0.18%+3.94%+12.34%0.41%
96.25 EUR +1.74%+0.68%-6.55%0.40%
257 CHF +2.11%+3.63%-6.34%0.39%
191.2 SEK +2.93%+1.03%+4.85%0.36%
70.2 AUD +2.01%+2.87%+0.29%0.36%
31.62 EUR +2.65%+10.81%+17.19%0.36%
46,010 JPY -2.27%-7.61%+31.53%0.36%
20,155 JPY -1.08%-4.00%-17.04%0.35%
35.04 EUR +1.57%-0.40%+6.70%0.34%
25.02 EUR -11.28%-11.84%-17.48%0.34%
18,340 JPY +0.19%+5.89%+4.06%0.34%
270.7 SEK +1.96%-1.60%+3.20%0.34%
69.95 EUR +0.94%+2.72%+18.96%0.33%
72.66 CHF +0.67%+2.37%-8.90%0.32%
70.5 GBX +0.64%+0.93%+11.41%0.32%
412.2 GBX +0.41%-2.48%-6.49%0.32%
2,546 GBX +2.00%+4.34%-0.86%0.32%
3,940 JPY -0.38%+1.44%-3.93%0.31%
11.53 AUD -2.29%-2.45%-4.24%0.31%
389.6 DKK +1.27%+0.67%+4.99%0.31%
151.8 EUR +1.10%+3.94%+5.31%0.30%
615 NOK +1.15%+0.49%-7.66%0.30%
203.4 EUR +0.30%-0.20%+14.98%0.30%
175.9 AUD -2.39%-0.03%-2.89%0.30%
124.6 EUR +0.65%+2.76%+57.86%0.30%
14.09 EUR -0.07%-3.23%+13.17%0.29%
33.15 AUD -3.04%-0.30%+6.45%0.29%
40.2 AUD -2.12%-0.30%-1.52%0.29%
109.8 GBX +1.20%+1.86%-15.67%0.28%
24.03 AUD -3.69%+1.26%-10.10%0.28%
4,383 JPY +1.95%-0.61%+4.81%0.28%
1,821 JPY +0.33%+2.27%-10.03%0.28%
473.2 SEK +1.09%+12.53%+17.30%0.27%
759 NOK +0.53%+1.61%+63.09%0.27%
5,389 JPY +0.88%-1.73%+12.34%0.27%
6.95 EUR -1.56%-3.34%-3.34%0.27%
80.15 EUR +0.94%+0.94%+1.89%0.27%
1,100 DKK +2.04%+1.66%+17.87%0.26%
8,980 GBX +1.47%-2.55%-14.52%0.26%
524.4 EUR +2.22%+4.05%+82.72%0.26%
888 GBX +1.83%+4.04%+9.14%0.26%
468.7 CHF +2.72%+2.09%+11.20%0.25%
34,080 JPY +2.16%-0.79%-8.31%0.25%
1,152 GBX +0.66%+1.77%-18.64%0.25%
623.8 EUR +7.26%+19.27%+32.74%0.25%
59e36f08489bfca83d32738ceb07b.vCNxGUSbzJQ2gD3pCuQVtqhW7WWix14JPexMs0rbZok.jloJWHbhptZewnaRS6lZjuslmwDzvTJuZ6M23weXKL31eUAuAui17FitWg

ETF Ratings

Description

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2016-07-11
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 13 M€
AuM 1M 13 M€
AuM 3 months 12 M€
AuM 6 months 11 M€
AuM 12 months 12 M€
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