Components BMO MSCI China ESG Leaders Equity Index ETF - CAD

ETF

ZCH

CA05575H1064

Market Closed - Toronto S.E. 20:51:55 03/05/2024 BST 5-day change 1st Jan Change
14.06 CAD +0.14% Intraday chart for BMO MSCI China ESG Leaders Equity Index ETF - CAD +5.95% +11.32%

Composition of BMO MSCI China ESG Leaders Equity Index ETF - CAD

Weight
364.4 HKD +1.11%+4.59%+24.11%24.32%
5.18 HKD +0.97%+4.23%+11.40%5.56%
4.28 HKD +1.18%+3.13%+12.04%3.05%
226.4 HKD +0.62%+6.39%+5.60%2.76%
38.42 USD +2.84%-3.10%-9.45%1.69%
62.2 HKD +5.07%+10.09%+17.47%1.52%
13.96 HKD -4.12%+3.56%-52.84%1.38%
5.57 USD -0.36%+24.05%-38.59%1.27%
47.65 HKD -0.63%+6.24%+5.54%1.13%
30.2 HKD +1.51%+8.63%+7.86%1.12%
3.42 HKD +0.59%-2.56%+13.62%1.03%
9.17 HKD +0.88%+1.55%-16.03%0.99%
21.48 USD -0.65%-0.60%+0.94%0.86%
16.76 HKD -0.59%+3.97%-20.19%0.81%
6.76 HKD +0.75%+2.42%-6.89%0.80%
15.58 HKD +3.73%+11.60%+13.23%0.65%
9.98 HKD +1.22%+6.28%+16.18%0.63%
16.45 USD +2.43%+4.58%-7.38%0.59%
202.6 CNY -3.35%+2.08%+24.10%0.58%
7.63 HKD +0.66%+1.73%-2.18%0.57%
71.15 HKD +2.30%+6.43%+23.74%0.56%
34.31 CNY -1.63%-0.49%+23.33%0.47%
25.79 CNY +1.22%+0.86%+10.50%0.47%
2.87 HKD -0.35%+3.61%-17.29%0.44%
9.15 HKD -1.82%+9.32%-19.60%0.39%
20.4 USD +0.59%+1.54%+22.82%0.37%
4.17 HKD +2.21%+4.25%+11.80%0.37%
16.42 HKD +1.73%+0.12%+25.92%0.34%
7.29 HKD 0.00%-4.08%+3.55%0.33%
19.62 HKD +1.03%-8.96%-4.06%0.33%
12.8 HKD +0.79%+16.36%+2.40%0.33%
304.6 CNY +0.82%+5.47%+4.81%0.32%
12 HKD -2.76%+8.89%-39.58%0.31%
10.46 HKD +2.35%+10.11%+33.25%0.30%
24.9 HKD +0.81%+0.81%-2.73%0.29%
3.28 HKD 0.00%+11.19%-22.64%0.29%
11.02 HKD +2.04%+0.92%-5.16%0.29%
18.82 HKD +1.18%+5.38%+4.32%0.28%
4.52 HKD +1.12%0.00%-4.24%0.28%
90c77967b72bd35c1.sGcYuExnQhEB_okTI7UuYstb-cpFB_EjrNJJ-B0ZX_Y.0StuzXgyJ1VXx7wmRfdGNfg1yJtzM4lk7eN-lC5RNprzUFXoelELKW-m4g

Description

CA05575H1064
Total Expense Ratio 0.67%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI China ESG Leaders Index - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
18/01/2010
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 56 M€
AuM 1M 55 M€
AuM 3 months 42 M€
AuM 6 months 52 M€
AuM 12 months 166 M€
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