Components iShares Core MSCI Global Quality Dividend Index ETF (CAD-Hedged) - CAD

ETF

XDGH

CA46437B1013

Market Closed - Toronto S.E. 09:30:00 2024-05-21 am EDT 5-day change 1st Jan Change
26.49 CAD +0.23% Intraday chart for iShares Core MSCI Global Quality Dividend Index ETF (CAD-Hedged) - CAD +1.38% +8.32%

Composition of iShares Core MSCI Global Quality Dividend Index ETF (CAD-Hedged) - CAD

Weight
27.84 USD -2.08%-1.14%+9.09%0.14%
244.8 CHF -1.21%-1.17%-15.53%0.14%
14.15 USD +1.00%+0.50%+11.24%0.14%
113 USD +0.60%+3.59%+28.12%0.14%
19.89 USD +0.05%-1.04%+2.63%0.14%
4,161 JPY +1.19%+0.58%-2.60%0.14%
92.45 USD -1.70%-2.09%-17.76%0.13%
79.7 HKD -1.60%+2.18%-5.62%0.13%
84.6 USD +0.17%-1.95%+0.26%0.13%
134.4 USD -0.35%-3.02%-5.77%0.13%
3,149 JPY +13.79%+9.82%+70.34%0.13%
94.97 USD -1.29%-1.67%+9.78%0.13%
48.92 EUR -0.93%0.00%+8.33%0.13%
62.61 USD -0.22%+0.35%+7.82%0.13%
7.7 AUD -0.13%-1.16%+1.32%0.13%
118.5 USD +0.19%+1.07%+2.24%0.13%
63.49 CAD -1.76%-2.16%-18.90%0.12%
44.8 USD +1.43%-0.84%+17.31%0.12%
278.6 SEK -0.36%-0.75%+11.44%0.12%
66.25 HKD -0.45%+0.53%+2.79%0.12%
854.8 DKK +0.56%+1.28%+10.73%0.12%
499.2 CHF -0.76%-1.34%-1.34%0.12%
61.04 USD +0.69%+1.28%+13.56%0.12%
55.28 CAD +0.51%+1.38%+3.87%0.11%
72.67 USD -1.68%-2.26%-7.17%0.11%
62.25 USD +0.27%-0.50%+11.34%0.11%
276.1 USD -1.16%-1.08%-4.41%0.11%
19.68 EUR +1.18%-12.63%-38.92%0.11%
181.8 USD +0.16%+0.12%+11.63%0.11%
16.21 AUD -0.43%-0.37%+0.62%0.11%
485.4 USD +0.54%+0.20%+13.29%0.11%
4,995 JPY +0.36%+7.74%+14.28%0.11%
67.47 CAD +0.06%+2.91%+13.22%0.11%
84.28 EUR -0.31%+3.06%+15.67%0.10%
2,942 JPY -6.07%-6.87%+27.99%0.10%
10.07 USD +1.26%-3.45%+4.46%0.10%
30.79 USD +0.26%-0.68%+7.43%0.10%
67.9 EUR -0.73%-1.59%+12.79%0.10%
112.1 USD -1.97%-2.73%-11.33%0.10%
52.12 USD +0.66%+1.48%+1.60%0.10%
25.05 USD +2.37%+2.08%+9.77%0.10%
14.27 AUD +0.99%-1.11%+4.93%0.10%
81.3 CHF +0.72%-0.12%+12.08%0.10%
52.83 USD +0.17%+1.67%+3.55%0.10%
3,601 JPY +0.73%-0.25%+14.97%0.10%
31.48 USD -1.56%-0.79%-3.55%0.10%
69 EUR -0.58%-11.36%-17.09%0.09%
44.5 USD -0.58%+0.61%-6.88%0.09%
2,915 ILa -0.78%-1.05%-1.19%0.09%
9,584 JPY -0.50%-0.90%+15.36%0.09%
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ETF Ratings

Description

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2017-06-11
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 45 M€
AuM 1M 45 M€
AuM 3 months 43 M€
AuM 6 months 39 M€
AuM 12 months 41 M€
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