Components iShares ESG Equity ETF Portfolio - CAD

ETF

GEQT

CA46436Q1090

Market Closed - Toronto S.E. 18:50:43 14/05/2024 BST 5-day change 1st Jan Change
56.62 CAD -0.46% Intraday chart for iShares ESG Equity ETF Portfolio - CAD +2.48% +10.61%

Composition of iShares ESG Equity ETF Portfolio - CAD

Weight
70.55 CAD -0.61%+1.53%-7.51%-.--%
175.9 CAD -1.20%-4.66%+11.31%-.--%
154.6 CAD +0.23%+0.59%-7.77%-.--%
54.53 CAD +0.81%-0.15%+2.46%-.--%
203 CAD -0.13%-1.76%-5.43%-.--%
13.04 CAD -0.84%+0.08%-6.52%-.--%
7.67 CAD -0.90%+3.23%+5.36%-.--%
15.29 CAD -0.20%+1.33%-0.33%-.--%
3,644 CAD -1.72%-2.96%+10.92%-.--%
129 CAD +0.28%+2.10%-1.63%-.--%
10.88 CAD +2.35%+4.82%+68.68%-.--%
20.25 CAD -1.75%-1.32%+17.73%-.--%
68.64 USD +1.31%+4.19%+25.14%-.--%
17.08 CAD -0.52%+0.23%+30.68%-.--%
13.74 CAD -0.72%+1.63%-6.21%-.--%
47.79 CAD -0.50%-2.81%+13.41%-.--%
39.09 CAD +0.54%-3.67%-4.61%-.--%
56.43 CAD +0.80%+0.95%-1.50%-.--%
4.73 CAD +11.82%+19.75%+0.64%-.--%
46.64 CAD +0.54%+1.59%-10.60%-.--%
51.07 CAD +3.11%-20.56%-20.19%-.--%
37.1 CAD -0.64%-2.11%+5.97%-.--%
44.62 USD +1.65%+1.27%+10.53%-.--%
30.23 CAD +1.99%+5.33%+44.30%-.--%
17.28 CAD +1.35%+1.53%-14.37%-.--%
45.2 CAD -1.99%-0.07%-20.85%-.--%
7.38 CAD +2.93%+6.49%+21.18%-.--%
42.68 CAD -0.51%+1.07%+11.38%-.--%
10.18 CAD +1.19%+6.37%-20.03%-.--%
12.99 CAD 0.00%+1.80%-5.87%-.--%
8.77 CAD +1.04%+1.50%+15.39%-.--%
130.7 CAD -1.97%-2.06%+17.36%-.--%
66.89 CAD -0.74%+1.58%+4.84%-.--%
120.4 CAD -0.02%+1.36%+26.06%-.--%
40.63 CAD -0.05%+2.60%+2.34%-.--%
48.68 CAD +1.46%+4.96%+7.94%-.--%
7.17 CAD +3.02%+5.91%+40.59%-.--%
19.53 CAD +8.68%+5.62%+80.00%-.--%
256.7 CAD +0.70%-3.54%-7.81%-.--%
6.5 CAD 0.00%+1.56%-1.96%-.--%
33.65 CAD +1.94%+2.94%-3.99%-.--%
22.22 CAD -1.86%-3.01%+3.06%-.--%
65.53 CAD -0.30%+1.30%+1.60%-.--%
15.26 CAD +3.04%+1.06%-14.51%-.--%
53.8 CAD -0.39%+0.20%-5.89%-.--%
4.37 CAD +6.59%+13.21%-11.00%-.--%
27.03 CAD -1.39%-0.55%-12.44%-.--%
29.98 CAD +0.27%-0.30%-14.59%-.--%
19.03 CAD +0.11%-4.18%-15.98%-.--%
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Description

CA46436Q1090
Total Expense Ratio 0.25%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
09/09/2020
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 55 M€
AuM 1M 55 M€
AuM 3 months 48 M€
AuM 6 months 40 M€
AuM 12 months 38 M€
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  4. Components iShares ESG Equity ETF Portfolio - CAD