Components CI WisdomTree U.S. Quality Dividend Growth Variably Hedged Index ETF - CAD

ETF

DQD

CA17166Q1063

Delayed Toronto S.E. 5-day change 1st Jan Change
- CAD -.--% Intraday chart for CI WisdomTree U.S. Quality Dividend Growth Variably Hedged Index ETF - CAD -.--% +8.48%

Composition of CI WisdomTree U.S. Quality Dividend Growth Variably Hedged Index ETF - CAD

Weight
409.1 USD +0.37%-0.68%+8.78%7.52%
169 USD +1.27%+0.61%-12.21%4.98%
148.5 USD -0.69%+2.60%-5.24%3.72%
167.8 USD -1.03%+2.16%+8.28%3.66%
1,257 USD +0.61%-2.01%+12.59%3.56%
333 USD -1.77%+0.05%-3.91%2.98%
162.6 USD +0.68%+3.59%+10.96%2.91%
61.55 USD +1.50%+5.20%+4.45%2.66%
177.4 USD +3.62%+4.68%+4.46%2.34%
48.35 USD +0.06%+1.17%-4.30%2.22%
487.3 USD +0.23%+1.73%-7.44%2.15%
93.85 USD +0.10%+4.19%+0.64%2.12%
796.8 USD -3.33%-5.19%+60.89%1.96%
174.8 USD +5.64%+5.50%+2.55%1.71%
276.8 USD -0.05%+2.52%-6.66%1.67%
273 USD -0.19%+3.39%-5.21%1.60%
146.6 USD -1.51%+3.07%-6.75%1.57%
732.2 USD -1.81%-2.47%+25.61%1.42%
423 USD -0.23%+4.74%+9.66%1.36%
115.3 USD +0.22%-2.81%+9.40%1.33%
163.6 USD +1.41%-0.42%+13.14%1.30%
67.08 USD +0.07%+0.22%-17.20%1.25%
106.9 USD -0.65%+0.93%-2.89%1.24%
275 USD +0.33%+0.85%+5.63%1.13%
232 USD -1.82%+1.20%-5.55%1.10%
459.1 USD -0.20%+0.68%+1.30%1.07%
164.2 USD +0.57%+2.55%+2.40%1.05%
194.8 USD -0.70%+2.33%-7.11%1.01%
135.6 USD +0.59%+2.42%+12.11%1.00%
129.3 USD -0.43%+0.74%+11.38%0.93%
88.75 USD +1.00%+2.95%-7.56%0.88%
246.6 USD -0.09%+1.53%+5.85%0.77%
462.5 USD -0.07%+0.51%+8.44%0.73%
165.3 USD -0.70%+0.53%+16.09%0.71%
723.9 USD +0.17%+1.22%+9.67%0.65%
75.19 USD -0.05%+3.71%+9.29%0.63%
239.1 USD +0.07%+9.85%+27.64%0.63%
196.5 USD +3.46%+3.73%-1.04%0.63%
251.8 USD +0.45%+0.89%-3.89%0.60%
94.64 USD +0.66%-0.21%-12.83%0.57%
352.3 USD -0.10%+1.79%+17.64%0.56%
95.28 USD +0.83%+2.31%+1.57%0.54%
88.87 USD +0.33%+2.44%+11.49%0.53%
234.7 USD +0.42%+2.48%-14.29%0.53%
137.8 USD +1.28%+9.38%+13.39%0.52%
281.1 USD -3.97%-1.18%+8.26%0.49%
201 USD -0.38%+1.69%+6.06%0.44%
533.7 USD +0.15%+4.86%+13.18%0.44%
236.2 USD -3.60%-1.30%-0.07%0.42%
122.5 USD +0.74%+2.84%+2.86%0.41%
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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) 37 M€
AuM 1M 38 M€
AuM 3 months 35 M€
AuM 6 months 30 M€
AuM 12 months 29 M€
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