Components Mackenzie Maximum Diversification All World Developed Index ETF - CAD

ETF

MWD

CA55453N1050

Market Closed - Toronto S.E. 20:59:59 17/05/2024 BST 5-day change 1st Jan Change
29.97 CAD -0.07% Intraday chart for Mackenzie Maximum Diversification All World Developed Index ETF - CAD +1.46% +12.00%

Composition of Mackenzie Maximum Diversification All World Developed Index ETF - CAD

Weight
78.66 USD -0.15%+5.30%+14.33%0.16%
242.3 USD -0.21%+1.53%+29.34%0.16%
70.27 USD -1.35%-2.08%-2.98%0.16%
934.9 JPY +0.34%+7.21%+45.04%0.16%
28.8 HKD -2.70%+1.23%-4.62%0.16%
26.85 SEK -0.63%+3.67%+4.35%0.16%
63.16 USD -1.42%-0.38%+22.78%0.16%
251.8 USD -0.22%+1.61%+8.07%0.16%
131,200 JPY -0.76%-2.45%-6.62%0.16%
564 USD -0.09%+1.69%+21.82%0.16%
277.3 AUD -0.22%-0.82%-3.26%0.15%
129 USD +2.96%+4.88%+51.16%0.15%
209.2 USD -0.39%+1.76%+10.39%0.15%
208.5 USD -0.94%-1.11%+16.40%0.15%
42.28 EUR -0.52%+0.86%+0.98%0.15%
264.1 USD -3.70%+3.77%+16.88%0.15%
1,366 JPY -0.15%+5.93%+34.17%0.15%
333.4 USD -1.58%-4.52%+11.33%0.15%
27.54 CHF +0.44%+1.55%+5.52%0.15%
323.8 USD +1.86%+7.12%+9.80%0.15%
665.5 GBX -1.55%-0.75%+27.49%0.15%
37.75 EUR +0.16%+1.78%-3.87%0.15%
26.15 HKD -2.06%-9.36%+1.55%0.14%
8.2 USD -4.21%-2.15%-27.94%0.14%
163.9 USD -0.06%+0.34%+2.23%0.14%
121.7 EUR +0.75%+2.27%+12.79%0.14%
75.36 USD +0.95%+3.50%+30.36%0.14%
6,369 JPY -0.76%+2.99%-13.80%0.14%
2,380 JPY +0.87%-1.73%+0.89%0.14%
60.87 USD -1.22%-2.81%-15.72%0.14%
221 USD -0.50%-0.86%+7.61%0.14%
3,769 USD +1.63%+0.63%+6.24%0.14%
7.802 EUR +1.48%+3.45%+34.61%0.14%
174.4 USD +0.19%+3.86%-11.64%0.14%
6.6 EUR 0.00%+6.01%+38.05%0.14%
9.06 HKD -0.98%-0.88%-2.79%0.14%
2,794 GBX -0.23%-1.32%-2.17%0.14%
258,900 JPY -0.15%-2.49%+2.86%0.13%
4,246 JPY -0.21%+0.83%+27.62%0.13%
11.78 EUR +1.12%-0.04%-24.86%0.13%
574.4 USD +1.35%+3.05%+11.55%0.13%
36,650 JPY +0.85%+5.96%+45.12%0.13%
151.3 USD -0.90%-1.23%+13.93%0.13%
2,839 JPY -1.47%-5.21%-0.14%0.13%
1,550 JPY +0.39%+0.39%+29.75%0.13%
94.39 USD +0.28%-0.07%+18.42%0.13%
22.59 CAD +0.76%+1.57%-4.20%0.13%
22.21 EUR +0.95%+0.91%+2.11%0.13%
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Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
05/09/2016
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 198 M€
AuM 1M 207 M€
AuM 3 months 224 M€
AuM 6 months 215 M€
AuM 12 months 244 M€
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