Components Mackenzie Maximum Diversification All World Developed Index ETF - CAD

ETF

MWD

CA55453N1050

Delayed Toronto S.E. 20:59:30 16/05/2024 BST 5-day change 1st Jan Change
29.99 CAD +0.81% Intraday chart for Mackenzie Maximum Diversification All World Developed Index ETF - CAD +1.56% +12.07%

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

Weight
470.8 CHF +0.35%+2.97%+7.14%0.13%
804.5 USD +0.62%+5.57%-0.69%0.13%
1,772 GBX -0.63%-1.58%+22.12%0.13%
1,779 ILa +0.79%-0.06%-2.15%0.13%
2,906 ILa -1.79%+0.03%-1.49%0.12%
289.9 USD +0.34%+0.84%+6.44%0.12%
3,480 GBX +0.72%+0.40%+11.67%0.12%
137 USD -0.08%+2.72%+7.17%0.12%
93.7 CHF +0.21%-2.60%-13.55%0.12%
72.02 EUR +0.57%+1.11%+15.02%0.12%
3.42 USD +0.29%+2.09%-1.72%0.12%
35.8 HKD +1.27%+3.32%-8.67%0.12%
235.6 USD -0.44%-0.12%-3.47%0.11%
129.3 CAD +0.54%+0.91%-1.37%0.11%
2,296 EUR +0.57%+0.04%+19.71%0.11%
2,788 JPY +1.47%+20.40%+81.78%0.11%
151 USD -0.10%-0.32%-1.12%0.11%
218.6 USD -0.29%+0.37%+15.13%0.11%
3.494 EUR +0.78%+2.52%+12.06%0.11%
64.54 USD +0.68%+2.65%+5.19%0.11%
167,500 JPY -0.53%+0.66%+0.60%0.11%
35.9 USD -0.46%-0.90%-2.88%0.11%
47.18 USD +1.19%+1.67%-3.85%0.11%
14,445 JPY +0.94%-0.03%+42.04%0.11%
214.3 USD +0.11%+2.03%+32.03%0.11%
166.8 USD +2.56%+9.21%+12.55%0.11%
3,169 USD +0.74%-2.28%+38.42%0.11%
4,840 JPY -2.18%-21.58%-4.40%0.11%
2,910 USD +0.29%-2.24%+12.64%0.10%
77.92 USD +0.46%+4.70%+30.10%0.10%
397.2 USD -0.97%-0.84%-18.73%0.10%
80.1 HKD +0.56%+4.03%-5.15%0.10%
1,271 JPY -2.42%-2.04%+17.36%0.10%
71.08 CHF -0.04%-1.12%-2.75%0.10%
2,812 JPY -0.25%-2.38%+3.80%0.10%
5,291 JPY -1.21%-6.37%-14.91%0.10%
145.4 CHF +5.75%+7.16%+25.44%0.10%
2,240 JPY -0.73%+9.27%+14.46%0.10%
9.1 HKD +1.34%+6.06%+7.18%0.10%
180.4 USD -0.38%+4.31%-12.50%0.10%
8,503 JPY -1.13%+8.33%+15.55%0.10%
336.9 USD -0.39%-4.68%-34.20%0.10%
2,506 JPY -0.75%-7.65%+27.88%0.10%
4.834 EUR +0.61%+1.97%+27.74%0.10%
1,540 JPY +0.06%-3.30%+7.21%0.10%
256.7 USD -0.81%-3.27%+1.61%0.10%
3,305 JPY +1.13%-0.12%+6.37%0.10%
595 JPY +1.59%+5.24%+38.73%0.10%
538.6 USD -0.03%+3.25%-0.86%0.10%
94.5 HKD -3.08%-3.57%+26.85%0.10%
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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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