Components Invesco ESG NASDAQ Next Gen 100 Index ETF - CAD

ETF

QQJE

CA46091C1068

Market Closed - Toronto S.E. 03:01:37 2024-05-22 pm EDT 5-day change 1st Jan Change
18.82 CAD +0.80% Intraday chart for Invesco ESG NASDAQ Next Gen 100 Index ETF - CAD -.--% +9.23%

Composition of Invesco ESG NASDAQ Next Gen 100 Index ETF - CAD

Weight
363.6 USD +2.08%+0.30%-8.82%-.--%
126.4 USD -2.91%-4.49%+5.45%-.--%
409.5 USD +1.42%+2.37%-6.56%-.--%
112.9 USD +3.09%+2.31%-25.65%-.--%
169 USD +1.00%-0.55%-5.59%-.--%
275.1 USD +1.73%+0.82%+25.12%-.--%
149.1 USD +0.61%-5.73%-17.08%-.--%
34.43 USD +0.47%+2.44%+16.04%-.--%
164.7 USD +2.19%-2.33%+0.78%-.--%
73.81 USD +1.69%+0.01%+3.30%-.--%
127.9 USD -2.11%+2.17%-3.21%-.--%
43.03 USD +2.65%+0.26%-9.96%-.--%
88.72 USD -0.10%-8.69%-2.00%-.--%
54.12 USD +3.15%+5.36%-32.85%-.--%
74.14 USD +0.39%+4.13%+17.44%-.--%
196.4 USD -0.29%-3.01%-9.70%-.--%
89.03 USD -1.80%-1.60%-4.43%-.--%
24.82 USD +0.98%-0.28%+8.76%-.--%
75.31 USD -0.26%+0.67%+43.80%-.--%
120.5 USD +3.42%+4.17%+36.67%-.--%
140.9 USD -0.26%-2.16%+29.84%-.--%
89.4 CHF +0.34%+1.22%+12.09%-.--%
78.99 USD +0.91%-1.15%-10.13%-.--%
27.41 USD +3.87%+2.97%-2.42%-.--%
105.3 USD -0.17%-0.74%-14.41%-.--%
61.34 USD +1.34%-2.65%-14.70%-.--%
53.02 USD +3.26%+2.48%+28.49%-.--%
3.66 USD +0.27%-.--%+8.61%-.--%
92.25 USD +2.25%-2.01%-22.05%-.--%
312.3 USD -1.35%-4.48%+14.27%-.--%
54.24 USD +2.19%-0.31%+24.35%-.--%
81.47 USD -1.25%-0.83%+104.44%-.--%
148.8 USD -3.50%-2.53%-17.47%-.--%
209.5 USD +0.20%-3.85%+25.50%-.--%
77.19 USD -0.08%-4.46%+0.04%-.--%
135.4 USD -0.91%-2.86%+2.77%-.--%
65.51 USD -0.05%-15.20%-10.85%-.--%
86.38 USD +1.76%-0.39%-0.01%-.--%
174.3 USD +2.80%+1.84%-15.36%-.--%
55.54 USD +0.07%-2.22%+4.40%-.--%
324.8 USD +0.59%+1.28%+14.75%2.69%
735.6 USD -1.11%-2.36%+16.62%2.46%
395.1 USD +2.47%+3.49%-19.37%2.21%
285.3 USD +1.60%+1.17%+32.67%2.15%
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Description

CA46091C1068
Total Expense Ratio 0.22%
Asset Class
Sector
Size
Currency
Provider
Underlying Nasdaq Next Generation 100 ESGIndex - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2021-11-13
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

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