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

ETF

DRFD

CA25059J1057

Market Closed - Toronto S.E. 14:30:00 29/04/2024 BST 5-day change 1st Jan Change
22.36 CAD +0.13% Intraday chart for Desjardins RI Developed ex-USA ex-Canada Multifactor - Net-Zero Emissions Pathway ETF - CAD -.--% +6.99%

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

Weight
87.97 CHF -1.01%-1.71%+3.65%2.16%
66.36 EUR -0.73%-4.49%+7.73%1.55%
14,455 JPY -0.24%+7.27%+42.13%1.46%
45.02 CHF -0.09%+0.18%+20.70%1.38%
8,870 JPY -1.38%+0.94%+28.92%1.32%
77.7 EUR +2.64%+3.27%+16.56%1.30%
9.85 EUR +0.67%-10.33%+19.74%1.29%
1,783 JPY -0.25%+1.86%+21.62%1.29%
217.3 CHF +1.49%-1.67%-11.12%1.26%
4,125 JPY -0.43%+0.88%+1.75%1.26%
3.462 EUR -3.13%-2.48%+30.96%1.25%
78.2 CHF +0.75%-1.14%+18.45%1.24%
3,683 JPY 0.00%+1.26%-6.40%1.22%
298.3 GBX -0.50%+3.25%+2.69%1.22%
34.2 EUR -2.02%-3.62%+39.20%1.22%
12.62 EUR +0.84%+1.69%+3.87%1.20%
2,608 JPY -1.04%+2.70%+2.31%1.19%
2,836 JPY -0.49%+18.51%+41.87%1.17%
101.8 EUR +1.09%+1.14%+4.93%1.16%
265.4 GBX +0.45%+1.53%-12.29%1.15%
37.86 EUR +0.16%+0.11%-5.73%1.15%
603.6 GBX +0.10%-5.75%+6.38%1.15%
14.77 EUR +1.10%+1.48%+14.92%1.15%
850.6 DKK -2.58%-4.06%+21.85%1.13%
1,640 GBX +1.61%+0.92%-7.00%1.13%
39.3 HKD -0.25%+2.75%-6.09%1.13%
24.3 EUR -0.12%+2.32%-5.36%1.12%
755 GBX -0.13%+10.80%+13.26%1.11%
9.788 EUR +2.00%-0.61%+1.16%1.10%
11,170 JPY -0.22%+2.06%+33.77%1.09%
5,429 JPY +0.02%-0.66%+3.25%1.07%
27.95 EUR -0.07%+2.72%-0.43%1.07%
1,120 DKK -2.61%+1.77%+19.96%1.07%
1,586 JPY +0.09%-0.47%+10.41%1.06%
47.42 EUR +0.42%-1.35%-9.98%1.06%
39.26 EUR -2.34%+4.92%+3.42%1.06%
6.81 SGD -0.15%-0.44%-3.68%1.06%
35.12 EUR +0.92%-3.09%+2.93%1.06%
815.8 GBX +1.42%+1.87%+4.43%1.05%
23.01 EUR -0.82%+0.92%+20.44%1.05%
1,028 JPY -0.05%+1.63%+8.58%1.05%
155.2 GBX +3.71%+6.26%-13.13%1.05%
3,565 JPY -0.72%-0.67%+10.10%1.05%
1,101 JPY -0.41%+3.09%+5.97%1.04%
79.34 EUR +7.22%+8.45%+8.89%1.04%
6.145 EUR +1.07%-1.29%+8.66%1.04%
91.72 CHF -0.11%-1.06%-5.94%1.03%
248.7 GBX +1.93%+0.69%+2.22%1.02%
15.54 EUR +0.65%+2.14%+14.31%1.00%
48 EUR +0.76%-1.13%+30.06%1.00%
7448d0175527e60.rikKGsBxQKIj-6wA1CjuwTQgjEUglmkDfovN5CqMIyU.xU14I48HM_Bskdxwun2BuG1w-hVj9zZ6O-mbiULPbkbFW3sothYf9BSr3w

Description

CA25059J1057
Total Expense Ratio 0.45%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
26/09/2018
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 117 M€
AuM 1M 67 M€
AuM 3 months 65 M€
AuM 6 months 65 M€
AuM 12 months 63 M€
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