Components Invesco FTSE RAFI Global Small-Mid ETF - CAD Hedged

ETF

PZW.F

CA46140D3031

Delayed Toronto S.E. 09:30:04 2024-04-16 am EDT 5-day change 1st Jan Change
23.21 CAD -1.07% Intraday chart for Invesco FTSE RAFI Global Small-Mid ETF - CAD Hedged 0.00% +3.02%

Composition of Invesco FTSE RAFI Global Small-Mid ETF - CAD Hedged

Weight
94.42 USD +1.00%+23.92%+96.26%0.26%
888.7 USD +3.65%+23.71%+212.06%0.26%
83.78 USD -0.63%+17.08%+57.99%0.23%
32.66 USD -2.01%+4.08%-32.30%0.19%
2.1 USD -1.87%-3.23%-53.12%0.19%
21.35 USD +1.38%+1.11%-18.12%0.17%
72.37 USD -1.96%+6.65%+81.58%0.17%
15.97 USD -2.32%+5.99%-10.23%0.16%
127.2 EUR -0.78%-3.34%-6.74%0.15%
70.75 USD -3.41%+3.22%+52.48%0.15%
16,220 JPY -0.06%-3.51%+35.96%0.15%
6.905 USD -0.79%+4.62%+18.64%0.15%
131.1 USD -0.79%+2.97%+32.52%0.14%
410 USD -4.37%-21.54%-6.43%0.14%
96.08 USD -0.68%+11.00%+60.86%0.14%
87.67 USD +2.26%+4.07%-12.81%0.14%
342.1 USD -0.52%+2.73%+0.94%0.13%
2.42 USD -0.41%-0.62%-35.43%0.13%
28.51 USD +0.21%+7.22%-15.63%0.13%
176.3 USD +1.55%-4.76%-10.95%0.13%
51.2 USD -2.55%-0.64%+15.89%0.13%
107.4 USD -0.46%+2.06%+23.95%0.13%
150 USD -0.03%+7.98%-3.64%0.13%
12.28 USD +1.78%+0.86%-9.13%0.13%
183,700 KRW +4.02%+6.25%-8.83%0.12%
292.8 USD +0.46%+3.97%-0.68%0.12%
33.66 USD -0.90%+2.84%-9.13%0.12%
80.46 USD +2.08%+0.92%-11.72%0.12%
106.8 USD +1.20%+1.15%+6.38%0.12%
3,902 JPY +3.58%+8.12%+21.33%0.11%
22.82 USD +1.33%+8.61%+32.64%0.11%
110.5 CAD -1.19%+2.02%+3.84%0.11%
180.2 USD -0.44%+0.91%+2.98%0.11%
20.73 CAD -0.19%+5.82%+20.52%0.11%
5,736 JPY +1.29%+0.86%-7.75%0.11%
162.7 USD -3.44%+5.07%+12.36%0.11%
5,927 JPY +0.97%+0.87%-11.06%0.11%
257.3 USD +0.24%+5.07%+26.86%0.11%
1,449 USD +3.07%+4.89%-8.68%0.11%
83.91 USD -0.11%+6.31%+18.49%0.11%
309.2 USD +2.38%+4.80%+50.44%0.11%
49.94 USD +0.38%-6.13%-11.00%0.11%
28.58 USD -0.09%+3.10%+3.10%0.11%
176.7 USD +0.72%+7.64%-7.15%0.11%
37.4 USD +0.23%+3.57%+22.86%0.11%
63.8 USD +2.58%+11.21%+2.23%0.11%
78 USD +0.85%+2.55%-5.61%0.11%
59.82 USD +1.66%-5.60%-20.36%0.11%
6.995 USD +1.23%+2.57%-29.70%0.11%
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Description

CA46140D3031
Total Expense Ratio 0.49%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
2018-01-11
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 2 M€
AuM 1M 2 M€
AuM 3 months 2 M€
AuM 6 months 5 M€
AuM 12 months 6 M€
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  4. Components Invesco FTSE RAFI Global Small-Mid ETF - CAD Hedged