Components BMO US Dividend ETF - CAD

ETF

ZDY

CA05575X1197

Delayed Toronto S.E. 17:37:54 14/05/2024 BST 5-day change 1st Jan Change
40.89 CAD -0.10% Intraday chart for BMO US Dividend ETF - CAD +1.82% +9.32%

Composition of BMO US Dividend ETF - CAD

Weight
200.1 USD +0.70%+4.36%+17.64%2.69%
337.3 USD -1.08%-0.95%-2.63%2.55%
160 USD -0.78%-1.72%+3.09%2.52%
166.6 USD -0.56%-0.97%+1.95%2.47%
150.9 USD -0.22%+1.43%-3.76%2.44%
186.6 USD +0.17%+2.38%-3.00%2.42%
40.54 USD +0.01%+3.13%+7.54%2.41%
163.4 USD -0.71%+0.43%+9.53%2.40%
413 USD -0.16%+0.85%+9.78%2.37%
38.66 USD +1.19%+2.31%+14.98%2.36%
28.24 USD -0.72%+1.64%-1.96%2.29%
117.1 USD +0.15%+0.86%+17.19%2.24%
48.52 USD -0.34%+2.53%-4.05%2.22%
164.5 USD -0.84%-0.87%+12.13%2.19%
62.84 USD -1.17%+0.44%+6.73%2.17%
128.3 USD -0.73%-1.64%+17.63%2.08%
190.5 USD +1.42%+4.24%+11.71%2.05%
178.7 USD -1.20%+0.42%+5.26%1.85%
99.58 USD +1.03%+4.02%+6.85%1.83%
510 USD -0.35%+2.03%-2.91%1.77%
149.6 USD -0.68%+1.58%-4.97%1.65%
187.5 USD +1.80%+4.09%+29.65%1.55%
59.46 USD -1.58%-1.81%+13.26%1.51%
119.1 USD +2.32%+1.27%+13.28%1.50%
269.6 USD -0.64%+0.48%-9.35%1.40%
307 USD -0.12%-0.96%-12.32%1.40%
39.62 USD -0.21%+2.99%-9.60%1.31%
309.2 USD +0.24%+3.01%+7.40%1.29%
63.62 USD +0.35%+2.84%+23.95%1.27%
274.8 USD -1.65%-0.42%+5.75%1.25%
44.63 USD -0.95%+1.28%-13.07%1.24%
459.2 USD +1.24%+3.59%+19.18%1.19%
74.74 USD +0.21%+4.27%+23.51%1.11%
83.71 USD +0.23%+2.20%+1.60%1.11%
757.1 USD -0.08%-2.63%+29.92%1.08%
108.2 USD +0.52%+0.50%-18.75%1.07%
67.08 USD -0.67%+2.55%-17.13%1.06%
103.5 USD -1.26%-2.56%-6.01%1.05%
42.02 USD +1.29%+1.25%-2.73%1.01%
797.8 USD +0.94%+2.00%-1.88%1.01%
243.4 USD -0.93%+0.37%-0.96%0.98%
99.95 USD +0.32%+4.59%-8.59%0.96%
55.28 USD -2.10%-0.74%-29.93%0.95%
102.3 USD -0.60%+0.04%+5.42%0.94%
78.43 USD -0.34%+2.12%+12.07%0.89%
357.2 USD +0.16%+3.52%+20.80%0.86%
158.9 USD +0.55%+1.70%+2.55%0.84%
467.4 USD -0.67%+0.18%+3.15%0.84%
39.46 USD +0.70%+0.89%+6.88%0.82%
203.3 USD -0.23%+3.30%-3.03%0.82%
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Description

CA05575X1197
Total Expense Ratio 0.33%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
25/03/2013
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 306 M€
AuM 1M 316 M€
AuM 3 months 304 M€
AuM 6 months 280 M€
AuM 12 months 324 M€
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