Components Desjardins RI Developed ex-USA ex-Canada - Net-Zero Emissions Pathway ETF - CAD

ETF

DRMD

CA25060L1076

Market Closed - Toronto S.E. 14:50:14 15/05/2024 BST 5-day change 1st Jan Change
28.07 CAD +0.47% Intraday chart for Desjardins RI Developed ex-USA ex-Canada - Net-Zero Emissions Pathway ETF - CAD 0.00% +10.04%

Composition of Desjardins RI Developed ex-USA ex-Canada - Net-Zero Emissions Pathway ETF - CAD

Weight
906.7 DKK -1.13%-0.66%+29.48%2.10%
95.73 CHF +0.20%+0.55%-1.86%1.95%
860.7 EUR +1.14%+1.46%+26.20%1.87%
784.5 EUR -0.57%-0.67%+6.83%1.38%
12,132 GBX -0.33%-1.59%+14.49%1.30%
236.2 CHF +3.80%+4.62%-3.68%1.29%
92.68 CHF -0.66%+0.31%+9.12%1.28%
44.54 AUD +1.02%+3.44%-11.64%1.24%
3,352 JPY -1.64%-4.99%+29.40%1.20%
2,826 GBX -0.57%-3.07%+9.63%1.16%
66.55 EUR -1.36%-2.62%+8.05%1.08%
176.6 EUR +0.30%-0.76%+26.48%1.01%
712.4 GBX +1.52%+3.10%+12.09%1.01%
176.8 EUR -5.79%-3.32%+4.73%0.92%
4,262 GBX -0.02%0.00%+12.26%0.79%
455.9 EUR -0.20%+0.40%+1.11%0.77%
122.3 AUD +1.94%+4.42%+9.36%0.76%
234.6 EUR -0.82%+2.11%+29.06%0.74%
13,015 JPY +0.50%+9.65%-2.95%0.73%
90.14 EUR -0.46%-3.25%+0.43%0.72%
186 EUR -0.46%-0.51%+5.61%0.69%
266 EUR +1.04%+1.03%+9.94%0.68%
490.7 GBX -0.10%-2.84%+5.07%0.67%
27.46 CHF -0.74%+2.00%+5.33%0.65%
1,522 JPY -4.28%-3.85%+25.67%0.62%
63.2 HKD +0.48%+0.64%-7.13%0.61%
287 AUD +1.38%+3.57%+0.10%0.58%
5,930 JPY +1.19%+2.33%+0.22%0.55%
2,823 GBX +0.70%-0.35%-1.02%0.54%
12.4 EUR +0.39%+3.46%+4.59%0.52%
36,820 JPY +4.51%+4.57%+45.79%0.52%
3,442 GBX -0.58%-0.41%+10.51%0.51%
116 EUR -0.51%+0.78%+2.02%0.50%
21.96 EUR -0.70%+0.50%+1.20%0.49%
14,310 JPY -0.45%+1.02%+40.71%0.49%
47.78 CHF -0.87%+1.38%+28.18%0.49%
1,782 GBX -0.83%+0.24%+23.07%0.49%
73,160 JPY +3.70%+5.04%+17.77%0.48%
465.2 CHF +2.61%+1.68%+5.80%0.47%
71.69 EUR -0.08%+1.52%+14.52%0.46%
136.6 CHF +0.04%+0.81%+18.01%0.43%
4.823 EUR +0.23%+1.17%+27.69%0.42%
2,275 EUR -0.48%-1.22%+18.56%0.42%
61.2 EUR +0.23%+3.73%+4.69%0.40%
33.58 EUR +0.63%+0.36%+13.84%0.40%
9,400 JPY +2.14%+5.46%+36.63%0.40%
34.56 AUD +2.40%+3.10%+12.57%0.39%
207.2 EUR -0.43%+0.78%+14.10%0.39%
1,141 GBX +0.42%+2.79%+8.08%0.38%
7,710 JPY +9.11%+10.66%+29.30%0.38%
5e0f19527a3b8f7d28d91e63d5347f5c.X42v-Nzl93ArNHQDwyprZayyHwuMTuftdDz3iqp7MGs.Gvr7iK3IvSpvcTdMtG4ANZqLeWTofo-ZRGytp-AXdxMV-NfVmLSvOFhBHw

Description

CA25060L1076
Total Expense Ratio 0.29%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
29/04/2020
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 3 M€
AuM 1M 53 M€
AuM 3 months 51 M€
AuM 6 months 45 M€
AuM 12 months 48 M€
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