Components TD Morningstar ESG International Equity Index ETF - CAD

ETF

TMEI

CA87250X1015

Market Closed - Toronto S.E. 17:27:25 17/05/2024 BST 5-day change 1st Jan Change
17.51 CAD +0.40% Intraday chart for TD Morningstar ESG International Equity Index ETF - CAD +3.12% +10.61%

Composition of TD Morningstar ESG International Equity Index ETF - CAD

Weight
903.3 DKK -1.05%+2.28%+29.39%2.92%
853 EUR -0.71%+0.60%+25.13%2.52%
93.37 CHF +0.81%+3.13%+10.02%1.84%
12,110 GBX -0.46%-1.80%+14.25%1.78%
783.2 EUR -0.36%-0.74%+6.76%1.74%
177 EUR +0.16%-0.43%+26.91%1.42%
13,100 JPY +0.65%+10.36%-2.31%1.04%
121 AUD -1.00%+3.37%+8.26%1.03%
4,316 GBX +0.84%+1.17%+13.58%1.01%
447.6 EUR -1.30%-1.38%-0.68%0.99%
1,554 JPY +2.04%-1.89%+28.23%0.91%
229.2 EUR -1.59%-0.26%+26.06%0.91%
185.6 EUR +0.30%-0.71%+5.41%0.90%
267.4 EUR +0.41%+1.56%+10.52%0.86%
72,880 JPY -0.38%+4.64%+17.32%0.85%
280 AUD -2.42%+1.06%-2.32%0.83%
65.3 HKD +3.32%+3.98%-4.04%0.81%
22 EUR +0.50%+0.46%+1.15%0.74%
8,550 JPY +0.13%+10.52%+35.87%0.73%
2,800 GBX -0.59%-1.29%-1.94%0.68%
47.41 CHF -0.50%+1.80%+27.10%0.67%
39.32 EUR +0.82%-4.77%+15.58%0.66%
3,458 GBX +0.09%+0.20%+11.19%0.63%
471.8 CHF +0.58%+3.58%+7.32%0.63%
2,295 EUR +0.53%-0.35%+19.61%0.62%
9,723 JPY +3.44%+9.09%+41.32%0.61%
3,372 JPY -0.12%+1.23%+49.63%0.60%
7,697 JPY -0.17%+10.48%+29.08%0.56%
6.8 EUR -0.28%+4.49%+1.04%0.54%
34.53 AUD -0.09%+3.01%+12.48%0.54%
33.69 EUR +0.42%+0.72%+14.24%0.52%
7,254 JPY -0.15%+1.51%+25.78%0.51%
41,010 JPY -0.89%+0.94%+17.20%0.50%
36,090 JPY -1.98%+2.50%+42.90%0.50%
37 EUR -0.24%+0.31%-2.10%0.50%
7,968 JPY +1.18%+2.40%+50.40%0.47%
16.52 EUR +1.84%+3.06%+22.16%0.44%
10.02 EUR +0.46%+4.38%+21.81%0.44%
9,336 GBX +1.15%+1.90%+0.67%0.43%
35.78 EUR -2.29%+5.56%+32.61%0.43%
4,130 JPY -0.19%+1.47%+1.87%0.42%
1,136 GBX -0.57%+2.11%+7.37%0.42%
190.9 AUD -1.28%-0.08%+3.94%0.42%
36.28 EUR -0.08%+0.79%+47.69%0.42%
4,593 GBX -0.54%-0.07%-15.26%0.41%
8,503 JPY -1.13%+11.93%+15.55%0.41%
3.769 EUR +0.96%+5.29%+42.58%0.40%
133.3 SEK +1.37%+2.82%+6.88%0.40%
48.88 EUR -0.41%-1.94%+0.19%0.40%
4,332 JPY +0.28%+1.14%-3.43%0.40%
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ETF Ratings

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
29/11/2020
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 5 M€
AuM 1M 5 M€
AuM 3 months 4 M€
AuM 6 months 4 M€
AuM 12 months 3 M€
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