Components Desjardins RI Emerging Markets Multifactor - Net-Zero Emissions Pathway ETF - CAD

ETF

DRFE

CA25060F1009

Delayed Toronto S.E. 15:53:51 10/05/2024 BST 5-day change 1st Jan Change
21.92 CAD +0.32% Intraday chart for Desjardins RI Emerging Markets Multifactor - Net-Zero Emissions Pathway ETF - CAD +0.64% +9.71%

Composition of Desjardins RI Emerging Markets Multifactor - Net-Zero Emissions Pathway ETF - CAD

Weight
819 TWD +2.12%+5.00%+38.11%5.64%
78,400 KRW -1.01%+1.03%-0.13%3.58%
378.2 HKD +1.94%+3.79%+28.81%2.70%
169.5 TWD 0.00%+8.65%+62.20%1.51%
41.66 BRL +7.55%+3.78%+11.92%1.42%
1,135 INR +1.33%-0.54%+2.89%1.41%
399,000 KRW -0.50%-1.12%-20.12%1.27%
466 TWD -0.96%+8.62%-4.80%1.26%
13.29 MXN +0.45%-2.49%+0.53%1.25%
10.16 HKD +0.40%+10.80%-6.96%1.23%
8,992 INR +0.12%-1.24%+32.29%1.21%
16.82 USD +5.75%+4.05%-5.26%1.16%
2,860 INR +2.20%+2.36%+13.07%1.15%
13.5 TWD +1.50%-1.46%-5.59%1.11%
25.17 MXN -1.49%+0.24%-17.66%1.11%
5.12 HKD +0.59%+9.40%+25.18%1.09%
82,900 KRW +3.11%+10.83%+57.60%1.09%
4.9 HKD +0.82%+8.41%+33.15%1.06%
14,590 KRW +0.41%+3.26%+12.23%1.05%
56,000 KRW +2.75%+8.74%+11.11%1.03%
3.87 EUR +0.26%+2.14%+20.94%1.02%
97,600 KRW +0.10%+5.63%-4.13%1.02%
47.75 TWD -0.10%+4.95%-11.25%1.01%
28.35 HKD +3.28%+12.06%+4.42%1.00%
30.5 TWD +0.49%+1.50%-0.65%1.00%
111 TWD -2.63%0.00%+12.58%0.98%
10.44 MYR +1.56%+2.35%+41.85%0.97%
5.68 CNY +1.61%+1.79%+25.39%0.97%
6.81 CNY +1.49%+1.49%+21.17%0.96%
9,950 KRW -0.30%+0.71%-2.74%0.96%
7.51 CNY +1.35%+2.88%+25.80%0.95%
39,000 KRW -1.02%+4.00%+1.30%0.95%
99.4 TWD -0.10%+2.37%+13.86%0.95%
34.49 USD +2.50%+2.58%-12.75%0.94%
7.96 CNY +0.25%+3.38%+20.24%0.92%
12.65 PLN +6.75%+21.40%+2.60%0.91%
105 TWD 0.00%+5.32%-10.26%0.90%
3.9 CNY -0.26%-1.27%+4.28%0.90%
36.5 TWD +0.27%+3.99%-8.41%0.89%
27.2 EUR -1.45%-9.33%+8.28%0.88%
58.7 CLP +0.55%+4.00%+3.00%0.85%
1,262 INR -0.19%+0.93%-0.83%0.84%
5.63 HKD -0.18%+8.69%+21.08%0.83%
3.74 HKD 0.00%+9.36%+24.25%0.82%
1,726 CLP -1.32%+1.81%+4.29%0.82%
335,500 KRW +2.76%+11.46%+27.57%0.80%
10.34 HKD +0.58%+9.42%+11.42%0.79%
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Description

CA25060F1009
Total Expense Ratio 0.65%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
05/03/2019
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 50 M€
AuM 1M 49 M€
AuM 3 months 66 M€
AuM 6 months 61 M€
AuM 12 months 82 M€
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