Components TD Q Global Dividend ETF - CAD

ETF

TQGD

CA87241X1033

Market Closed - Toronto S.E. 03:25:02 2024-05-31 pm EDT 5-day change 1st Jan Change
18.74 CAD -0.11% Intraday chart for TD Q Global Dividend ETF - CAD -0.43% +9.65%

Composition of TD Q Global Dividend ETF - CAD

Weight
192.3 USD +0.54%+1.23%-0.11%5.39%
415.6 USD +0.23%-3.38%+10.52%4.56%
1,331 USD -2.45%-5.48%+19.20%2.13%
1,096 USD -0.82%+2.94%+121.31%1.64%
334.9 USD +1.74%+3.02%-3.36%1.48%
146.9 USD +1.09%-0.07%-6.30%1.44%
161.2 USD +3.15%+2.66%+4.05%1.37%
305.8 USD +1.59%-0.01%+6.17%1.24%
46.5 USD +0.82%+0.17%-7.96%1.20%
116.5 USD +2.54%-0.67%+0.34%1.14%
62.93 USD +1.55%+1.50%+6.79%1.13%
2,332 JPY -0.26%+0.28%+15.61%1.09%
157.5 USD +2.30%+2.07%+1.69%1.09%
50.36 USD +0.20%-0.77%-1.29%1.06%
255.5 CHF +1.71%+3.95%-11.84%1.06%
101.4 USD +1.98%+1.45%+7.76%1.06%
20.2 EUR -1.34%-1.70%-4.49%1.05%
14.37 USD +2.72%-0.76%-0.21%1.05%
272.2 USD +0.30%-1.78%+18.53%1.03%
151.3 USD +1.93%+2.32%+6.08%1.03%
4,985 JPY -0.52%+1.76%+14.05%1.03%
227.6 USD +1.55%+19.83%+54.91%1.01%
59.6 USD +6.35%+7.31%-24.52%1.01%
37.44 USD +1.88%+0.51%+8.55%1.01%
5,184 JPY +1.55%+2.09%+14.77%1.00%
41.12 USD +2.17%-0.28%-19.85%0.99%
35.4 CAD +0.91%-2.51%+20.90%0.99%
759.5 USD -1.38%-2.51%+30.66%0.99%
203 USD -0.94%-5.56%-3.62%0.97%
480.8 GBX -0.24%-0.66%+1.83%0.96%
4,452 JPY +0.88%-0.09%+22.14%0.96%
244.9 USD +1.66%-1.60%+5.13%0.95%
38.97 USD +1.75%+0.44%+11.60%0.93%
30.03 USD +1.73%-0.56%-13.63%0.93%
273.8 USD +2.08%+0.53%-10.22%0.93%
344.6 USD +4.11%+3.61%+15.08%0.92%
97.28 USD +0.99%-0.97%+7.87%0.92%
6.99 AUD +0.14%-5.03%-22.76%0.91%
70.92 NOK +1.90%+2.99%+3.68%0.90%
19.35 USD +1.84%+1.20%-0.15%0.89%
46.25 USD +1.78%+1.67%+14.65%0.88%
103.4 USD +2.18%+2.14%+28.70%0.87%
107.6 USD +1.70%-1.72%+10.14%0.87%
28.66 USD +1.63%-0.76%-0.45%0.87%
93.18 EUR +0.63%+0.37%-7.54%0.87%
20 HKD -0.74%-0.74%+48.37%0.85%
2,358 JPY +1.31%-0.19%+11.52%0.84%
36.5 USD -4.85%+11.45%+21.30%0.84%
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Description

CA87241X1033
Total Expense Ratio 0.45%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
2019-11-24
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 134 M€
AuM 1M 129 M€
AuM 3 months 93 M€
AuM 6 months 63 M€
AuM 12 months 39 M€
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