Components TD International Equity CAD Hedged Index ETF - CAD

ETF

THE

CA87809T1066

Market Closed - Toronto S.E. 03:59:59 2024-05-01 pm EDT 5-day change 1st Jan Change
25.03 CAD -0.48% Intraday chart for TD International Equity CAD Hedged Index ETF - CAD +1.54% +8.73%

Composition of TD International Equity CAD Hedged Index ETF - CAD

Weight
897.7 DKK -0.54%+0.72%+28.59%2.01%
92.2 CHF +0.13%-1.75%-5.45%1.89%
832.7 EUR -1.77%+2.40%+22.15%1.82%
3,605 JPY -0.91%+2.68%+39.16%1.28%
774.4 EUR -0.62%-2.81%+5.56%1.28%
12,170 GBX +0.90%+8.00%+14.81%1.23%
89.05 CHF +0.20%+1.93%+4.93%1.23%
42.32 AUD -1.65%-6.99%-16.05%1.07%
697.5 GBX +0.27%+4.46%+9.76%0.98%
169.7 EUR -1.00%+2.17%+21.67%0.96%
52.1 EUR -1.21%+1.24%-0.95%0.95%
68.59 EUR -0.95%+1.02%+11.35%0.93%
113.9 AUD -0.54%-0.58%+1.90%0.78%
4,140 GBX 0.00%+7.23%+8.95%0.74%
13,100 JPY +0.11%+4.84%-2.31%0.72%
439.6 EUR +0.72%-0.31%-2.44%0.68%
266.6 EUR +0.11%-0.04%+10.19%0.66%
215.1 EUR -0.44%+5.13%+18.33%0.66%
57.8 HKD +0.87%+20.04%-15.06%0.62%
183.9 EUR -0.28%-2.13%+4.41%0.61%
1,564 JPY -1.01%+0.58%+29.05%0.60%
24.27 CHF -3.31%-4.41%-7.01%0.59%
509.4 GBX -2.11%-2.62%+9.28%0.57%
274.5 AUD -0.82%-1.61%-4.24%0.57%
154.7 EUR -0.78%-4.19%+10.66%0.55%
34,940 JPY -0.51%+7.51%+38.35%0.50%
6,074 JPY -1.95%-2.16%+2.65%0.50%
2,742 GBX -1.19%-2.71%-3.97%0.50%
5,426 GBX -0.84%+2.05%-7.12%0.49%
69,220 JPY -1.54%+7.53%+11.43%0.49%
7,789 JPY -1.59%+3.60%+23.77%0.48%
21.49 EUR -1.38%-0.56%-1.20%0.47%
11.51 EUR -1.24%+0.52%-3.03%0.46%
3,300 GBX -0.09%-1.90%+6.11%0.46%
444.2 CHF -0.02%-1.60%+1.05%0.46%
67.61 EUR -0.16%+1.49%+8.02%0.45%
44.89 CHF -0.93%+1.84%+20.35%0.44%
42.31 EUR -3.91%-2.11%+24.37%0.43%
127.9 CHF -1.39%+0.55%+10.50%0.42%
2,251 EUR -2.05%-2.55%+17.31%0.42%
33.79 AUD -0.03%-0.15%+10.07%0.40%
170.5 JPY -0.18%-0.53%-1.04%0.40%
14,490 JPY -0.89%+9.65%+42.48%0.40%
4.573 EUR -3.74%-2.01%+20.99%0.40%
8,994 JPY +0.16%+2.36%+30.73%0.39%
204.2 EUR -0.34%-0.54%+28.06%0.38%
6,840 JPY -0.90%+8.31%+14.71%0.37%
7,637 JPY -1.08%+1.85%+3.78%0.37%
2,349 GBX -0.09%-0.47%+2.33%0.37%
110.2 EUR -0.32%-2.91%-3.03%0.37%
3332f29f2aa004eb6e21f09fc.mJWsmYJ933y16pC2KklYwk3tARyYCiPAZt3PZeDlQQo.-cfH_-gP6gzqqdzkZCoUkCufNnHSbEqoBZStNIimK0XN5s2v5i7uBMzd4w

ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2016-03-21
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-26 )

AuM (EUR) 26 M€
AuM 1M 24 M€
AuM 3 months 18 M€
AuM 6 months 13 M€
AuM 12 months 8 M€
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