Components Invesco FTSE RAFI U.S. Index ETF - CAD hedged

ETF

PXU.F

CA46140T1003

Delayed Toronto S.E. 01:47:48 2024-05-15 pm EDT 5-day change 1st Jan Change
60.29 CAD +0.87% Intraday chart for Invesco FTSE RAFI U.S. Index ETF - CAD hedged +3.36% +8.79%

Composition of Invesco FTSE RAFI U.S. Index ETF - CAD hedged

Weight
209 USD -0.39%-0.33%+16.86%0.14%
100.5 USD +1.67%+2.07%+11.38%0.14%
130.6 USD +3.64%+8.91%-0.34%0.14%
231.1 USD +0.51%-0.41%-2.20%0.14%
249.4 USD -0.01%+0.82%-4.78%0.14%
946.1 USD +3.67%+3.72%+20.94%0.14%
237.4 USD +1.00%+1.57%-2.70%0.14%
175.1 USD +1.45%+3.34%+0.82%0.14%
223.6 USD +2.69%+7.74%+91.72%0.14%
150.6 USD +0.74%+1.80%+5.53%0.14%
978.6 USD -0.61%+2.23%+11.25%0.13%
125.8 USD +1.09%+1.77%+11.89%0.13%
100.3 USD -1.02%+0.70%+24.88%0.13%
137.4 USD +2.20%+3.01%+6.99%0.13%
3,777 USD +0.12%+3.14%+6.42%0.13%
75.06 USD +2.06%+4.51%+43.77%0.13%
247.7 USD +0.88%+2.06%+6.42%0.13%
134.4 USD -0.48%-1.10%+10.63%0.13%
330.9 USD +2.03%+0.62%+10.64%0.13%
75.39 USD +0.63%+2.06%+5.43%0.13%
81.63 USD -0.06%+3.16%+16.26%0.12%
144 USD +1.52%+2.71%+7.03%0.12%
236.1 USD +4.06%+7.34%-8.86%0.12%
60.42 USD +0.25%+2.20%+12.43%0.12%
63.84 USD -1.15%+0.11%+4.02%0.12%
53.34 USD -0.27%+6.84%+25.38%0.12%
43.1 USD +1.23%+3.54%+3.91%0.12%
68.04 USD +1.73%+4.25%+17.99%0.12%
14.8 USD +1.89%+3.67%-20.04%0.12%
29.48 USD +0.98%+3.28%+8.69%0.12%
69.92 USD -1.32%+0.68%+7.46%0.12%
55.9 USD +0.60%+1.77%-9.70%0.12%
251.1 USD +1.03%+1.88%-8.36%0.12%
74.5 USD +1.02%+2.56%+21.70%0.12%
52.6 USD +1.83%+1.60%+26.78%0.12%
40.84 USD +0.16%+3.56%+17.08%0.12%
106.5 USD +4.01%+7.04%+28.77%0.12%
68.85 USD +1.58%+1.56%-8.94%0.12%
65.91 USD +1.46%+2.67%+14.93%0.12%
655.8 USD +3.21%+3.71%+4.94%0.11%
77.26 USD +0.92%+2.51%-0.32%0.11%
293.1 USD -0.70%+1.30%+22.23%0.11%
66.22 USD +1.38%-0.05%+7.80%0.11%
101.9 USD -1.50%-3.53%+0.68%0.11%
74.15 USD +0.90%+2.12%+28.46%0.11%
38.7 USD +0.58%+0.58%+12.22%0.11%
159.1 USD +3.91%+3.65%+8.01%0.11%
1,285 USD +0.74%-2.21%+27.12%0.11%
73.98 USD -0.50%+1.34%-5.20%0.11%
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Description

CA46140T1003
Total Expense Ratio 0.44%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE RAFI US 1000 (CAD Hedged) Total Return Index - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2012-01-24
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 31 M€
AuM 1M 33 M€
AuM 3 months 32 M€
AuM 6 months 71 M€
AuM 12 months 69 M€
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