Quotes Purpose Global Flexible Credit Fund - CAD Hedged

ETF

FLX

CA74643C1014

Market Closed - Toronto S.E. 15:25:46 15/05/2024 BST 5-day change 1st Jan Change
7.1 CAD +1.28% Intraday chart for Purpose Global Flexible Credit Fund - CAD Hedged +1.00% +1.72%

Quotes 5-day view

Delayed Quote Toronto S.E.
Purpose Global Flexible Credit Fund - CAD Hedged(FLX) : Historical Chart (5-day)
  09/05/2024 10/05/2024 14/05/2024 15/05/2024
Last 7.01 $ 7.07 $ 7.01 $ 7.1 $
Volume 2 034 400 2 234 500
Change -0.28% +0.86% -0.85% +1.28%
Opening 7.01 7.06 7.01 7.02
High 7.01 7.07 7.01 7.10
Low 7.01 7.06 7.01 7.02

Other stock markets

Markets Price Change Volume
FLX.U Delayed quote 5.94 USD ETF Purpose Global Flexible Credit Fund - Non-Currency Hedged USD Units - USD+2.41% 1,860
FLX.B Delayed quote 8.33 CAD ETF Purpose Global Flexible Credit Fund - Non-Currency Hedged CAD Units - CAD+0.85% 480
FLX Delayed quote 7.1 CAD ETF Purpose Global Flexible Credit Fund - CAD Hedged+1.28% 500

Performance

1 day+1.28%
1 week+1.00%
Current month+1.72%
1 month+1.87%
3 months+1.87%
6 months+4.72%
Current year+1.72%
1 year+4.72%
3 years-11.69%
5 years-18.86%
10 years-26.95%

Volumes

markets
Daily volume
500
Estimated daily volume
500
Avg. Volume 20 sessions
860
Daily volume ratio
0.58
Avg. Volume 20 sessions CAD
6 106.00
Avg. Volume 20 sessions USD
4 481.19
Record volume 1
295 136
Record volume 2
212 000
Record volume 3
206 424

Highs and lows

1 week
7.01
Extreme 7.01
7.10
1 month
6.87
Extreme 6.87
7.10
Current year
6.87
Extreme 6.87
7.10
1 year
6.51
Extreme 6.51
7.10
3 years
6.21
Extreme 6.21
8.12
5 years
6.11
Extreme 6.11
8.76
10 years
6.11
Extreme 6.11
10.00

Indicators

Moving average 5 days
7.05
Moving average 20 days
5.94
Moving average 50 days
6.02
Moving average 100 days
7.00
Price spread / (MMA5)
-0.74%
Price spread / (MMA20)
-16.32%
Price spread / (MMA50)
-15.25%
Price spread / (MMA100)
-1.45%
STIM
RSI 9 days
54.86
RSI 14 days
52.85

Historical data

DateOpeningHighLowEnd-of-dayVolume

Description

CA74643C1014
Total Expense Ratio 1.38%
Asset Class
Sector
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
15/06/2011
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 16 M€
AuM 1M 17 M€
AuM 3 months 17 M€
AuM 6 months 17 M€
AuM 12 months 20 M€
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