Components RBC Quant U.S. Dividend Leaders ETF - CAD

ETF

RUD

CA74930L1031

Market Closed - Toronto S.E. 20:59:30 15/05/2024 BST 5-day change 1st Jan Change
65.1 CAD +0.93% Intraday chart for RBC Quant U.S. Dividend Leaders ETF - CAD +2.07% +17.72%

Composition of RBC Quant U.S. Dividend Leaders ETF - CAD

Weight
163.5 USD +2.17%-3.19%+28.08%-.--%
15.6 USD -0.64%+0.84%-16.22%-.--%
39.25 USD -1.13%+0.51%-10.49%-.--%
120.7 USD -0.28%-1.92%+3.99%-.--%
59.08 USD -0.71%+1.29%+25.30%-.--%
49.71 USD -0.24%-1.68%+9.74%-.--%
64.16 USD +0.33%+0.11%+0.69%-.--%
52.42 USD +0.61%+5.49%+20.17%-.--%
119.6 USD +0.61%+2.49%+15.32%-.--%
12.83 USD -0.77%+8.27%-17.33%-.--%
117.8 USD +0.25%+0.84%-7.38%-.--%
12.31 USD -1.05%+1.32%+0.98%-.--%
17.33 USD +0.17%+1.29%+3.28%-.--%
31.44 USD +0.03%+0.96%+6.94%-.--%
458 USD +0.84%+0.71%+7.38%-.--%
69.78 USD +0.62%-4.00%+14.49%-.--%
327 USD +2.02%+5.67%+20.79%-.--%
100.5 USD +1.15%+5.10%+7.80%-.--%
157.5 USD -0.91%-1.30%+10.60%-.--%
194.6 USD +2.98%+7.79%+34.56%-.--%
759.7 USD +4.08%+5.94%+30.69%-.--%
134.1 USD -0.73%-1.34%+10.37%-.--%
947.8 USD +3.86%+3.77%+21.00%-.--%
38.91 USD +1.09%+3.18%+15.56%-.--%
63.15 USD +0.35%+0.62%+3.25%-.--%
221.8 USD -0.06%-1.03%+8.00%-.--%
439.4 USD +0.93%+3.16%+15.68%-.--%
540 USD +1.00%+1.24%+14.51%-.--%
93.3 USD -0.54%+1.79%-7.86%-.--%
217.5 USD +3.66%+4.89%+34.20%-.--%
96.91 USD +5.95%+8.64%+151.58%-.--%
423.1 USD +1.75%+3.05%+12.51%-.--%
53.17 USD +0.25%+9.56%+9.92%-.--%
44.55 USD -0.36%+2.02%-13.17%-.--%
83.35 USD -0.62%+2.94%-3.52%-.--%
343.3 USD -0.91%-1.17%+14.64%-.--%
281.5 USD +1.35%+1.55%+8.12%-.--%
57.8 USD -1.28%+0.73%+0.71%-.--%
97.11 USD -0.33%-0.34%-3.66%-.--%
13.86 USD -1.42%+8.79%+55.91%-.--%
49.67 USD +1.47%+3.48%-1.68%-.--%
138.4 USD -0.10%-1.43%-2.93%-.--%
189.7 USD +1.22%+3.82%-1.46%9.07%
946.3 USD +3.58%+4.67%+91.09%3.94%
163.8 USD +1.36%+2.08%+5.69%3.91%
348.7 USD +2.40%+2.90%+0.61%3.50%
185 USD +0.65%+2.96%-4.46%2.75%
54.38 USD -1.63%-1.81%+18.97%2.14%
101.2 USD +1.16%+5.08%-7.39%2.01%
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Description

CA74930L1031
Total Expense Ratio 0.43%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
13/01/2014
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 334 M€
AuM 1M 345 M€
AuM 3 months 305 M€
AuM 6 months 271 M€
AuM 12 months 283 M€
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