Samenstelling Purpose Tactical Hedged Equity Fund ETF - CAD Hedged

ETF

PHE

CA74639Y2087

Beurs gesloten - Toronto S.E. 20:58:15 15-04-2024 Variatie 5 dagen Verschil t.o.v. 1 jan (%)
32,72 CAD -0,70% Intraday-grafiek van Purpose Tactical Hedged Equity Fund ETF - CAD Hedged -1,59% -.--%

Samenstelling van de Purpose Tactical Hedged Equity Fund ETF - CAD Hedged

Gewicht
183,4 USD +5,98%+8,32%-4,75%7.72%
406,7 USD +2,22%+0,08%+8,14%6.76%
167,2 USD +0,37%-2,74%+19,72%4.65%
735 USD -2,77%+0,20%+26,08%2.43%
268,5 USD +0,32%-2,20%+3,12%2.29%
342,8 USD +2,18%+2,32%-1,07%2.21%
116 USD -0,21%-1,66%+16,02%2.15%
164,5 USD +0,38%+1,97%+12,23%1.99%
666,7 USD +0,31%-3,49%+16,26%1.74%
37,24 USD +0,98%-1,56%+10,60%1.70%
572,4 USD +0,20%-0,21%+7,84%1.69%
204,1 USD +3,12%+0,35%+25,93%1.63%
763,9 USD +0,91%+0,14%-5,90%1.62%
319,3 USD +0,79%+4,85%+30,91%1.59%
92,15 USD -0,28%-2,09%-15,12%1.56%
425,2 USD +1,97%+2,26%-3,48%1.55%
3.577 USD +3,01%+1,60%+0,85%1.51%
95,11 USD +0,21%-1,30%+1,39%1.50%
164,6 USD -0,19%+0,39%+2,66%1.48%
629,3 USD +2,48%-1,14%+0,68%1.45%
256,1 USD +0,79%-1,52%+5,93%1.43%
63,33 USD +0,27%+4,63%-10,22%1.41%
149,2 USD +0,03%-4,28%+12,33%1.40%
129,6 USD +0,82%+1,30%-5,30%1.39%
33,85 USD +0,83%-0,41%-2,37%1.37%
75,89 USD +5,55%+0,26%+28,43%1.34%
320,5 USD -0,14%+4,79%-29,98%1.33%
158,1 USD +1,86%+2,47%+6,08%1.31%
122,6 USD +1,36%+1,78%+23,72%1.27%
307,8 USD -0,35%+0,35%+13,70%1.26%
166,6 USD +1,97%-6,17%+1,01%1.26%
190,5 USD -0,60%-1,54%+12,00%1.24%
178,9 USD +1,77%+0,81%+4,96%1.18%
270,3 USD -1,09%-1,02%-8,84%1.17%
199,6 USD +1,60%-1,16%+0,54%1.17%
121,7 USD +2,70%+1,94%-0,03%1.09%
85,08 USD +0,71%+1,47%-21,29%1.09%
908,5 USD +2,81%-1,82%+15,99%1.08%
70,45 USD +0,61%+3,88%+15,21%1.07%
486,2 USD +2,02%+1,81%-18,51%1.06%
179,6 USD -0,26%+8,44%+24,21%1.06%
528,9 USD -0,27%-2,66%+14,23%1.00%
353,6 USD +5,18%+2,07%+12,95%1.00%
208,7 USD -0,15%+0,33%+31,04%1.00%
167,1 USD -0,10%+5,46%-15,35%0.99%
46,87 USD +0,47%+3,12%-4,76%0.86%
1.294 USD +1,73%+2,75%+27,90%0.83%
29,45 USD +0,17%+2,08%+3,08%0.79%
23,82 USD +0,93%-0,13%+2,94%0.75%
38,67 USD +0,34%-1,50%+11,02%0.75%
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Beschrijving

ISIN-code CA74639Y2087
Totalekostenratio (TER) 0.96%
Activaklassen
Sector
Grootte
Valuta
Beheerder

Kenmerken

Rechtsgebied
Fondsstructuur
Aanmaakdatum
03-09-2013
Dividendbeleid
Factor
Geografisch zwaartepunt

Distributie

Individuele belegger

Veranderingen in de stand van zaken ( 27-03-2024 )

Volume (EUR) 2 M€
Volume 1 maand 2 M€
AuM 3 months 2 M€
AuM 6 months 3 M€
AuM 12 months 3 M€
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