Components BMO Global Consumer Staples Hedged to CAD Index ETF - CAD

ETF

STPL

CA09659R1055

Delayed Toronto S.E. 16:11:15 10/05/2024 BST 5-day change 1st Jan Change
23.91 CAD +0.38% Intraday chart for BMO Global Consumer Staples Hedged to CAD Index ETF - CAD +1.44% +4.73%

Composition of BMO Global Consumer Staples Hedged to CAD Index ETF - CAD

Weight
6,939 JPY +3.99%+6.05%+19.64%-.--%
3.18 SGD +0.32%-0.93%-10.92%-.--%
3,336 JPY +1.74%+3.19%+5.87%-.--%
143.2 USD +1.18%+3.55%+0.39%-.--%
63.34 USD +0.72%+1.74%+7.33%-.--%
70.4 USD +0.19%+0.52%+7.88%-.--%
166.6 USD +0.36%+1.22%+13.59%9.78%
95.18 CHF +1.04%+3.77%-2.39%8.81%
179.7 USD +0.94%+1.80%+5.58%6.70%
99.54 USD +0.08%+2.08%+5.69%4.19%
4,288 GBX +0.52%+2.39%+12.84%3.48%
56.17 USD +0.88%+0.55%-28.81%2.88%
71.08 USD +1.25%+1.28%-2.27%2.80%
2,850 GBX +0.46%+4.43%-0.21%2.29%
44.86 USD +0.32%+2.82%+11.10%2.06%
94.75 USD +0.71%+1.95%+18.79%1.87%
2,433 GBX +1.33%+3.31%+5.99%1.85%
559.4 USD +0.77%+5.70%+20.74%1.77%
59.48 EUR +0.88%+7.13%+1.81%1.59%
4,597 GBX +0.02%+2.70%-15.18%1.42%
55.64 USD +0.80%+1.16%-3.42%1.23%
137 USD +0.24%+0.60%+12.67%1.16%
59.5 EUR +0.37%+3.05%+1.40%1.15%
62.36 USD -0.14%+5.21%-13.81%1.11%
261.6 USD +0.36%+2.26%+8.33%1.11%
75.71 USD +0.75%+0.48%+3.54%1.07%
149.4 EUR +0.23%+5.73%-6.51%1.04%
57.96 USD +0.23%+1.81%+21.44%0.97%
225.1 USD +0.44%+0.59%+9.68%0.95%
33.88 USD -0.34%+0.03%+1.56%0.91%
30.72 AUD -0.19%+0.72%-17.42%0.88%
4,410 JPY +1.57%+2.49%+20.99%0.86%
2,026 JPY +0.60%-0.05%+8.66%0.86%
36 USD +0.83%-1.16%-2.84%0.84%
55.42 USD +0.77%+1.02%+21.07%0.84%
93.76 EUR +0.30%+3.74%+1.98%0.82%
29.69 EUR +0.78%+5.66%+14.13%0.80%
204.2 USD +2.07%+2.78%+9.10%0.78%
311.7 GBX +0.48%+4.49%+7.30%0.74%
107.2 USD +0.10%+0.94%+13.27%0.66%
1,868 GBX +0.08%+2.30%+3.40%0.59%
6,089 JPY +5.73%+3.80%+11.93%0.56%
17.28 USD +0.14%-2.84%-33.72%0.54%
5,483 JPY -0.02%+0.99%+4.28%0.51%
105 CHF -2.24%+1.16%+14.08%0.50%
75.97 USD +0.84%+0.64%+10.98%0.49%
84.24 USD +0.48%-0.85%-21.95%0.46%
59.7 USD +0.08%-3.74%+11.07%0.43%
279.1 SEK +0.54%+1.60%+11.64%0.43%
104.7 USD -0.65%+3.16%+3.37%0.43%
54542bf0e31.il67QYyE9htAeUgP2HJ_Nz1TiNSrNxsy9xsDf6X2aDc.wgiWN8rboncMAHFurD8YdRBkpZrOBWxbsEFKEOm_PFrnN8I22_TAeTI7BQ

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
06/04/2017
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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