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

ETF

DRFU

CA25061M1041

Delayed Toronto S.E. 18:06:20 13/05/2024 BST 5-day change 1st Jan Change
31.75 CAD +0.16% Intraday chart for Desjardins RI USA Multifactor - Net-Zero Emissions Pathway ETF - CAD 0.00% 0.00%

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

Weight
189.8 USD +1.27%+3.79%-1.49%6.22%
420.1 USD +1.03%+2.11%+11.48%5.31%
938.6 USD +2.75%+3.31%+88.61%2.73%
183.8 USD -1.72%-2.26%+20.93%2.37%
1,390 USD +0.71%+4.48%+24.05%2.25%
479.6 USD +0.76%-1.90%-19.74%1.54%
39.65 USD -0.13%+1.33%-9.77%1.51%
171.8 USD +0.84%+1.26%+22.78%1.47%
160.5 USD +0.31%-5.12%+25.53%1.42%
49.18 USD +0.46%+2.16%-2.94%1.35%
17.36 USD +0.32%+1.49%+3.49%1.35%
55.91 USD -0.16%+1.51%-29.41%1.33%
63.96 USD +0.57%+1.90%+24.30%1.32%
173.2 USD +2.06%+5.48%+3.28%1.26%
168.4 USD +3.74%+5.87%+12.57%1.24%
19.48 USD +0.33%+3.27%+10.12%1.22%
344.2 USD -0.63%-1.06%+14.77%1.22%
24.7 USD +1.17%+5.05%-17.20%1.19%
119.4 USD +2.74%+2.99%+15.53%1.18%
108.6 USD -1.45%-2.16%-14.44%1.17%
36.14 USD -0.15%+0.56%-2.41%1.14%
25.92 USD +1.35%+7.27%+5.48%1.13%
78.75 USD -0.87%-1.40%+16.27%1.13%
288.7 USD +1.91%+2.08%+5.90%1.12%
77.09 USD +0.92%+4.27%+28.54%1.12%
11.06 USD -0.76%-6.31%+2.17%1.12%
78.24 USD -0.14%+0.01%+1.66%1.11%
91.84 USD +0.05%+7.08%-6.26%1.07%
17.72 USD +0.37%+3.67%+4.89%1.03%
906 USD +2.67%+5.47%+34.67%1.03%
144.5 USD +7.77%+9.13%+87.74%1.02%
180.6 USD +1.62%+3.00%+21.35%1.00%
260.3 USD +0.47%+0.81%+2.82%1.00%
120.3 USD +0.26%-0.20%-0.90%0.99%
254.3 USD +0.17%+0.68%+5.59%0.98%
110.3 USD -1.52%-0.65%-10.59%0.98%
57.54 USD -1.04%-1.34%-6.18%0.98%
41.57 USD +0.68%+3.76%-7.02%0.97%
49.98 USD +1.00%+3.60%-13.17%0.97%
1,017 USD +1.04%-0.47%+6.89%0.94%
97.72 USD -0.18%-1.20%+31.60%0.92%
74.54 USD +1.43%+2.51%+28.95%0.91%
694.1 USD +0.94%+0.27%+14.89%0.89%
67.5 USD -0.21%+4.22%-16.48%0.85%
115.3 USD +0.13%+2.13%-8.68%0.85%
211.2 USD +0.01%+4.69%-7.14%0.85%
99.02 USD +0.36%+0.59%+5.62%0.83%
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Description

CA25061M1041
Total Expense Ratio 0.40%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
25/09/2018
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 171 M€
AuM 1M 175 M€
AuM 3 months 101 M€
AuM 6 months 88 M€
AuM 12 months 86 M€
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