Components TD International Equity CAD Hedged Index ETF - CAD

ETF

THE

CA87809T1066

Market Closed - Toronto S.E. 20:59:59 07/05/2024 BST 5-day change 1st Jan Change
25.73 CAD +0.98% Intraday chart for TD International Equity CAD Hedged Index ETF - CAD +4.38% +11.77%

Composition of TD International Equity CAD Hedged Index ETF - CAD

Weight
882.6 DKK +3.66%-0.25%+26.43%2.01%
92.16 CHF +0.88%+0.09%-5.49%1.89%
854.2 EUR +0.90%+0.77%+25.30%1.82%
3,599 JPY +0.50%+2.54%+38.93%1.28%
789.4 EUR +0.99%+1.31%+7.61%1.28%
12,118 GBX +0.56%+0.78%+14.32%1.23%
89.78 CHF +1.91%+1.02%+5.79%1.23%
43.42 AUD +1.57%+1.05%-13.87%1.07%
712.6 GBX +1.01%+6.66%+12.13%0.98%
174.4 EUR +1.68%+1.72%+25.01%0.96%
52 EUR -0.88%-1.40%-1.14%0.95%
67.07 EUR -0.28%-3.15%+8.88%0.93%
119 AUD +2.07%+4.53%+6.44%0.78%
4,212 GBX +0.57%+2.61%+10.84%0.74%
12,680 JPY -2.91%-0.70%-5.44%0.72%
444.9 EUR +0.43%+1.92%-1.28%0.68%
272.5 EUR +1.23%+2.33%+12.63%0.66%
221.5 EUR +0.87%+2.52%+21.85%0.66%
61.25 HKD -2.00%+6.89%-9.99%0.62%
184 EUR +1.14%-0.23%+4.46%0.61%
1,559 JPY +0.32%+0.42%+28.68%0.60%
26.79 CHF +7.59%+6.73%+2.64%0.59%
503.7 GBX -1.31%-3.75%+8.06%0.57%
279.6 AUD +1.47%+1.66%-2.47%0.57%
158.9 EUR +1.40%+1.90%+13.65%0.55%
36,840 JPY +5.23%+7.62%+45.87%0.50%
5,903 JPY -1.44%-0.05%-0.24%0.50%
2,756 GBX +0.97%-0.51%-3.52%0.50%
5,591 GBX +2.27%+2.46%-4.30%0.49%
71,290 JPY +2.78%+2.41%+14.76%0.49%
8,078 JPY +3.66%+3.80%+28.36%0.48%
21.72 EUR -0.09%-0.32%-0.14%0.47%
11.9 EUR +2.10%+2.06%+0.21%0.46%
3,411 GBX +1.58%+3.58%+9.68%0.46%
451.6 CHF +1.26%+1.64%+2.73%0.46%
69.6 EUR +2.01%+2.78%+11.20%0.45%
45.73 CHF +0.57%+0.93%+22.60%0.44%
40.98 EUR +0.96%-6.93%+20.46%0.43%
132.8 CHF +0.68%+2.43%+14.77%0.42%
2,294 EUR +0.88%-0.17%+19.55%0.42%
34.14 AUD -1.50%+1.55%+11.21%0.40%
169.8 JPY -0.35%+0.95%-1.45%0.40%
14,670 JPY +1.49%+8.87%+44.25%0.40%
4.728 EUR +3.45%-0.47%+25.10%0.40%
8,907 JPY +0.42%+1.37%+29.46%0.39%
208.8 EUR +1.16%+1.90%+30.94%0.38%
7,049 JPY +3.15%+6.14%+18.21%0.37%
7,759 JPY +2.43%+1.44%+5.44%0.37%
2,387 GBX +1.36%+1.79%+3.99%0.37%
112.5 EUR +1.08%+1.72%-1.06%0.37%
9afa9a758a.KVThTLktpRNfBa_7Pe7vXSKDL9XypVjTw-hrvC0wHlU.TSK7f-xrwV1rQsyPDtaJHGPsQ4eG0yi6ua0z0UNBeSFGLbgO5hrGXi9P9g

ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
21/03/2016
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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