Components Accelerate Absolute Return Hedge Fund- CAD

ETF

HDGE.U

CA00435W1041

Market Closed - Toronto S.E. 19:58:11 10/05/2024 BST 5-day change 1st Jan Change
26.64 CAD +0.72% Intraday chart for Accelerate Absolute Return Hedge Fund- CAD 0.00% 0.00%

Composition of Accelerate Absolute Return Hedge Fund- CAD

Weight
156.2 USD -3.06%-11.37%-2.37%2.57%
121.8 USD -2.84%-0.64%+24.51%2.54%
59.56 USD +0.27%+4.13%+11.64%2.49%
4.86 USD -3.67%-11.48%-40.73%2.48%
952.1 USD +0.47%+11.57%+2.55%2.47%
167 USD -1.36%-14.73%+0.01%2.47%
301.6 USD -0.05%+2.21%-1.04%2.46%
82.82 USD -0.10%+5.45%+11.83%2.44%
29.29 USD -1.11%-5.03%-19.47%2.44%
20.4 USD -2.06%+4.51%-29.75%2.43%
31.64 USD 0.00%+2.76%+10.82%2.41%
86.51 USD -1.56%+3.12%-13.95%2.39%
101.9 USD +0.08%+8.29%+22.05%2.38%
390.2 USD -2.26%-0.61%+27.29%2.38%
315.9 USD -0.79%+3.69%+56.58%2.35%
174.5 USD +0.06%+0.32%+0.25%2.35%
320.9 USD +0.13%+3.07%+2.87%2.35%
83.77 USD +4.30%+4.14%+21.12%2.33%
110.3 USD +1.12%+5.08%+27.30%2.33%
95.85 USD +0.80%+1.48%+3.23%2.33%
293.2 USD -0.80%+1.16%+4.82%2.33%
156.1 CAD +0.32%+1.42%+21.70%2.33%
25.51 CAD -1.32%+3.61%+29.69%2.32%
112.8 USD +0.28%-2.16%-25.66%2.32%
24.1 CAD -2.03%+1.01%-3.41%2.31%
27.82 USD +0.18%+1.31%+0.36%2.30%
176.8 USD -0.32%+1.14%+19.28%2.29%
718.3 USD +1.07%+3.11%+23.56%2.29%
209.7 USD +1.65%+2.76%+29.41%2.29%
77.02 CHF +0.44%+4.33%-3.44%2.28%
3,806 USD +0.68%+6.38%+7.29%2.28%
23.26 USD -1.77%-0.13%+16.30%2.28%
150.3 USD -1.03%-9.11%-23.42%2.28%
22.45 USD -0.31%+3.74%+23.76%2.27%
206.3 USD +1.15%+6.47%+16.42%2.25%
6.53 CAD +1.56%+15.58%+89.28%2.24%
559.9 USD +0.86%+5.87%+20.94%2.23%
564.7 USD -0.11%+3.25%+3.45%2.23%
103.8 USD -1.03%-6.39%+18.74%2.22%
59.83 USD +1.01%+4.20%+7.94%2.20%
435.6 USD +4.13%+10.99%+22.16%2.20%
79.5 CAD +1.03%+9.67%+3.09%2.20%
33.11 USD +0.18%+3.73%-14.13%2.18%
1,019 USD -1.11%+0.63%+7.29%2.17%
215.8 USD +0.95%+3.37%+35.46%2.15%
99.53 USD +1.50%+0.63%-1.26%2.07%
148.8 USD -0.31%+9.32%+12.69%2.06%
382.9 USD +0.63%+3.59%+8.30%1.97%
16.3 USD +3.49%-11.12%-54.61%1.34%
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Description

CA00435W1041
Total Expense Ratio 0.36%
Asset Class
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
09/05/2019
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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