Components iShares Global Monthly Dividend Index ETF CAD-Hedged - CAD

ETF

CYH

CA46433E1097

Market Closed - Toronto S.E. 18:30:24 26/04/2024 BST 5-day change 1st Jan Change
20.35 CAD +0.64% Intraday chart for iShares Global Monthly Dividend Index ETF CAD-Hedged - CAD +1.19% +2.57%

Composition of iShares Global Monthly Dividend Index ETF CAD-Hedged - CAD

Weight
5,470 GBX +0.30%+1.71%-6.22%1.77%
43.38 USD -0.37%+3.06%+7.54%1.25%
39.68 USD +1.17%-2.00%+5.25%1.21%
167.1 USD -1.05%-7.96%+2.19%1.17%
42.97 AUD -0.42%-5.39%-14.76%1.15%
81.06 USD -0.39%+1.80%+15.44%1.09%
4,713 JPY +2.12%+2.68%+4.34%1.07%
86.04 USD -1.40%+4.34%+0.78%1.04%
110.5 USD -0.61%-0.10%+6.55%0.98%
50.39 USD +1.02%+3.32%-1.23%0.97%
37.88 EUR +0.16%-1.30%-5.48%0.97%
4,205 JPY +2.34%+1.25%-3.80%0.95%
16.75 USD +1.03%+1.45%-0.18%0.95%
102.1 USD +2.46%+1.38%+7.41%0.90%
95.02 USD -1.11%+1.33%+1.00%0.88%
33.83 USD +0.92%-4.35%-6.42%0.85%
12.79 USD -1.92%+5.35%+4.92%0.83%
70.14 USD -1.39%+0.30%-1.89%0.83%
443.2 USD -0.18%+11.66%+3.44%0.80%
15.33 EUR +0.46%-0.14%-0.20%0.79%
72.81 USD -0.07%+4.06%+40.83%0.77%
172.8 USD +0.93%-3.91%+6.10%0.77%
2,360 GBX +1.46%-0.30%+2.50%0.75%
114 USD +4.77%+4.87%+5.88%0.74%
50.45 USD -1.02%+1.22%+7.34%0.73%
17.7 USD +0.57%-2.96%-32.21%0.73%
1,314 GBX -0.27%-0.83%-5.94%0.73%
106.5 USD -0.96%-0.25%+5.25%0.73%
25.67 AUD +0.31%+3.55%-11.54%0.72%
43.02 EUR -0.92%-1.78%+9.54%0.72%
47.25 USD +0.94%-1.54%+13.80%0.71%
67.82 USD -0.40%+3.16%+10.91%0.70%
143.4 USD +0.29%+2.82%+11.60%0.70%
41.12 USD +0.32%+1.66%-4.99%0.68%
28 USD -0.46%+0.68%-6.95%0.68%
65.42 USD +0.23%-2.01%-19.24%0.67%
38.17 USD +0.53%+3.72%+3.39%0.67%
14.7 USD +0.62%+0.48%+2.08%0.67%
36.9 USD +0.22%+1.79%+6.99%0.67%
313.8 NOK -1.54%-7.51%-13.10%0.66%
135.2 USD -0.87%+6.63%+11.30%0.66%
38.13 USD -1.14%-0.10%+4.01%0.65%
63.62 CAD +0.74%-1.03%-1.36%0.65%
42.73 USD -1.57%+9.51%+3.24%0.64%
109.5 USD -1.46%+0.88%-0.67%0.64%
13.55 USD -0.22%+2.03%+6.53%0.64%
27.02 USD -1.03%0.00%-0.30%0.64%
49.59 USD -1.27%-0.46%-3.33%0.63%
69.25 EUR -0.33%+1.93%+12.35%0.63%
35.15 USD +0.43%+3.41%+6.07%0.63%
1efdb4a8b0d85029fe3ae1775c8.Wo4D_hv11D0ejDTnYXJdZSmpOztEC0OOuGgYwnSNtVI.It5Tq1SE5HRQ3nKOJzENXBz_CWghPHSj8TdcswbqjGIU-Ua4WIGcV13GWw

ETF Ratings

Description

CA46433E1097
Total Expense Ratio 0.66%
Asset Class
Sector
Size
Currency
Provider
Underlying Dow Jones Global Select Dividend Composite Net Total Return Index - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
14/01/2008
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 97 M€
AuM 1M 93 M€
AuM 3 months 97 M€
AuM 6 months 90 M€
AuM 12 months 95 M€
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