Components Vanguard Global Minimum Volatility ETF - CAD

ETF

VVO

CA92207Q1000

Market Closed - Toronto S.E. 18:57:21 14/05/2024 BST 5-day change 1st Jan Change
35.34 CAD -0.28% Intraday chart for Vanguard Global Minimum Volatility ETF - CAD +2.58% +7.75%

Composition of Vanguard Global Minimum Volatility ETF - CAD

Weight
554.9 USD -0.82%-1.32%+1.66%1.69%
161.6 USD +0.19%-0.59%+4.27%1.68%
1,916 JPY -0.39%+2.21%+8.92%1.68%
48.95 USD +0.55%+3.53%-3.11%1.67%
1,362 GBX +0.76%-1.52%+22.51%1.66%
67.65 USD +0.16%+3.35%-16.49%1.64%
2,788 JPY -5.91%-4.41%-26.43%1.63%
106.8 USD -0.30%-0.09%+12.98%1.62%
128.7 USD -0.49%-1.32%+18.02%1.61%
151.4 USD +0.11%+1.79%-3.42%1.57%
82.57 USD +0.43%-0.45%-4.19%1.55%
89,700 KRW -0.44%-3.24%+3.22%1.55%
270.7 USD -0.24%+1.18%-8.72%1.53%
59.86 USD -0.91%-1.25%+13.91%1.53%
82.07 USD -2.30%-3.50%-6.62%1.51%
40.63 CAD -0.05%+2.60%+2.34%1.49%
97.68 USD -0.45%+0.97%-0.65%1.46%
467.2 USD -0.72%+0.11%+3.08%1.46%
209.9 USD -0.46%-0.30%+17.17%1.44%
987.6 GBX +0.04%-2.70%+2.43%1.44%
94.57 USD +0.12%+0.52%+18.64%1.39%
361 USD +0.85%+0.80%+15.32%1.39%
167.4 USD -0.12%-0.61%+2.33%1.36%
120.9 USD +3.87%+2.49%+14.64%1.31%
187.3 USD -0.47%-0.65%+13.60%1.29%
44.71 USD -0.78%+1.52%-12.86%1.29%
2,232 GBX -3.86%-2.89%+3.35%1.22%
35.78 USD +0.65%+1.33%+11.43%1.21%
220.8 USD -0.87%-0.13%+10.90%1.12%
2,236 JPY -0.33%+3.04%+8.28%1.12%
221.9 USD -0.44%-2.12%+8.06%1.11%
1,757 USD -2.37%-5.52%+16.76%1.05%
28.55 HKD -0.17%+5.16%-5.78%1.05%
62.56 USD +0.11%+1.49%+11.89%0.97%
513.9 USD +0.42%+2.58%-2.39%0.96%
14.35 AUD +0.99%-1.31%+5.51%0.96%
1,202 GBX +0.40%+0.33%+2.47%0.96%
1,504 JPY +0.94%+0.57%+19.41%0.94%
4,396 JPY +0.09%+2.11%+21.44%0.93%
10.74 EUR +0.70%+2.09%+4.23%0.90%
3,309 JPY -0.45%-2.07%+6.50%0.90%
93.28 CHF -0.23%+3.19%+10.09%0.88%
3.17 USD +5.67%-13.62%-13.15%0.87%
120.4 CAD -0.02%+1.36%+26.06%0.85%
46.01 USD -0.48%+1.88%+6.43%0.83%
1,631 JPY +2.48%+4.99%+13.58%0.83%
5.IF0j-cloF6lUazpxef1bE1yfMmv2LJHi2njztVOmmzg.WTBEnZwnc_8FImNCF6oKPizVYwrGHbyBnAm92hvnw2x5H1uXsVAh7gQafw

Description

CA92207Q1000
Total Expense Ratio 0.40%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Date of creation
20/06/2016
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 19 M€
AuM 1M 18 M€
AuM 3 months 20 M€
AuM 6 months 20 M€
AuM 12 months 23 M€
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