Components Wealthsimple Developed Markets ex North America Socially Responsible Index ETF - CAD

ETF

WSRD

CA94701J1030

Delayed Toronto S.E. 17:00:58 22/05/2024 BST 5-day change 1st Jan Change
29.15 CAD -0.55% Intraday chart for Wealthsimple Developed Markets ex North America Socially Responsible Index ETF - CAD +0.62% +5.96%

Composition of Wealthsimple Developed Markets ex North America Socially Responsible Index ETF - CAD

Weight
192.2 CHF -2.11%-0.44%-15.90%-.--%
382.6 GBX -0.57%+2.03%-11.00%-.--%
33.56 EUR -1.03%+0.57%+13.80%-.--%
56.38 GBX +0.36%+3.45%+18.17%-.--%
184.8 EUR +0.08%+2.58%-0.88%-.--%
12,360 GBX -0.03%+1.54%+16.60%-.--%
2,055 DKK +2.65%-0.48%-4.64%-.--%
19.14 EUR +1.00%-8.68%-23.13%-.--%
127.6 EUR +0.08%+0.71%+8.87%-.--%
4,177 CHF -0.45%+1.58%+19.89%-.--%
471.6 CHF -0.25%+4.04%+7.28%-.--%
9,274 GBX -1.13%-0.64%+14.24%-.--%
741.4 GBX +2.04%-1.91%+2.77%-.--%
260.3 GBX -1.55%-3.23%+6.99%-.--%
72.8 EUR +0.48%+5.43%+12.61%-.--%
2,756 GBX +0.84%+3.07%+2.68%-.--%
39.84 EUR +3.43%+4.38%-9.94%-.--%
207.6 EUR -0.95%-0.67%+9.99%-.--%
3,038 GBX 0.00%-2.32%-4.76%-.--%
27.61 CHF -0.32%-0.22%+5.79%-.--%
11.43 EUR -2.76%-0.44%+24.65%-.--%
2,260 GBX +1.35%+0.36%+5.31%-.--%
3,482 GBX +0.49%+0.58%+11.96%-.--%
147 EUR +0.51%+1.80%+8.33%-.--%
42.12 EUR +0.53%+0.43%+0.60%-.--%
67.52 EUR -1.20%-5.90%+7.88%-.--%
2,184 EUR -4.25%-4.46%+13.82%-.--%
5,235 GBX -1.32%-1.04%+11.67%-.--%
201.1 DKK +0.25%+4.47%+11.47%-.--%
72.05 EUR -2.83%-4.25%+22.53%-.--%
28.62 AUD +1.10%+2.18%+10.42%-.--%
14.25 AUD -0.14%+0.28%+4.78%-.--%
34.91 AUD -0.96%-0.31%+12.11%-.--%
4.805 EUR -0.76%-0.15%+27.13%-.--%
102 EUR -0.15%-2.25%+8.40%-.--%
145 GBX -1.29%-1.43%-1.36%-.--%
99.86 USD +8.47%+8.23%-5.45%-.--%
33.93 AUD +0.50%+1.37%+34.11%-.--%
65.4 EUR -0.97%+1.14%+0.80%-.--%
17.02 EUR -2.52%-1.50%-8.84%-.--%
7.69 AUD -3.27%+1.18%-15.03%-.--%
47.17 AUD +1.07%-14.31%-16.50%-.--%
7.07 AUD -0.42%+3.82%-1.26%-.--%
2.04 AUD 0.00%-1.45%-2.39%-.--%
1,114 DKK -3.01%-2.96%+19.32%-.--%
4.06 AUD -2.17%+2.27%+2.78%-.--%
129.2 GBX +0.90%+14.14%+4.49%-.--%
15.72 EUR -0.38%+0.48%+22.28%-.--%
188.8 AUD +0.15%+2.74%+4.21%-.--%
22.84 AUD -2.56%-0.04%-14.55%-.--%
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Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
14/06/2020
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 417 M€
AuM 1M 418 M€
AuM 3 months 389 M€
AuM 6 months 339 M€
AuM 12 months 361 M€
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  4. Components Wealthsimple Developed Markets ex North America Socially Responsible Index ETF - CAD