Components Wealthsimple North America Socially Responsible Index ETF - CAD

ETF

WSRI

CA94701L1085

Market Closed - Toronto S.E. 20:59:30 28/06/2024 BST 5-day change 1st Jan Change
39.65 CAD -0.26% Intraday chart for Wealthsimple North America Socially Responsible Index ETF - CAD -0.78% +7.34%

Composition of Wealthsimple North America Socially Responsible Index ETF - CAD

Weight
82.29 USD -2.37%-7.88%+5.12%-.--%
157.7 USD -2.79%-1.60%+6.97%-.--%
127.4 USD -1.72%-5.69%-8.37%-.--%
233.8 USD +0.98%+1.01%+24.81%-.--%
185.6 USD -1.34%+1.36%-37.59%-.--%
311 USD -0.46%-2.24%+7.98%-.--%
534.6 USD -1.35%-1.32%+13.36%-.--%
216.8 USD +2.91%+4.14%+12.58%-.--%
244.5 USD -2.14%-4.77%+5.69%-.--%
356.7 USD +1.77%+8.35%+51.46%-.--%
245.8 USD -0.65%+2.78%+0.97%-.--%
235.7 USD -1.27%-5.43%+1.16%-.--%
60.11 USD +0.37%+1.06%+15.49%-.--%
190 USD -1.88%-2.74%-1.58%-.--%
137 USD -2.77%-4.88%-9.84%-.--%
76.41 USD -0.78%-0.39%+32.17%-.--%
219.2 USD -2.08%-5.36%-3.58%-.--%
74.1 USD -0.20%+2.24%+3.71%-.--%
58.15 USD -1.54%-5.80%-26.36%-.--%
310.9 USD +1.03%+0.58%+14.15%-.--%
139.7 USD +0.90%+1.47%+6.54%-.--%
119.2 USD +0.92%+2.21%+15.20%-.--%
35.83 USD -0.56%+1.24%+8.12%-.--%
67.74 USD -0.38%-1.37%-10.31%-.--%
53.07 USD -1.61%+0.30%+10.75%-.--%
36.43 CAD +0.39%+1.79%+24.42%-.--%
44.31 CAD -0.14%-2.42%-15.07%-.--%
114.8 CAD +0.68%-1.35%-12.42%-.--%
36.27 USD -0.60%-1.01%+5.16%-.--%
82.83 USD +0.67%-1.03%-31.95%-.--%
67.31 CAD -5.02%-2.29%+17.82%-.--%
62.09 USD -1.19%-4.54%-4.14%-.--%
39.91 CAD +0.68%+2.10%-9.01%-.--%
39.85 CAD +0.50%+1.35%+0.38%-.--%
12.76 USD +1.75%+4.33%+4.68%-.--%
17.65 CAD +1.15%-2.16%+37.35%-.--%
158.7 CAD -0.26%+1.41%+23.71%-.--%
436.2 USD -1.94%+1.68%+29.31%-.--%
0.214 EUR -.--% - - -.--%
- AUD -.--% - - -.--%
- EUR -.--% - - -.--%
- NOK -.--% - - -.--%
- EUR -.--% - - -.--%
0.3938 CAD -17.11% - - -.--%
- USD -.--% - - -.--%
- GBX -.--% - - -.--%
- AUD -.--% - - -.--%
- RUB - - - -.--%
15.34 CAD -0.78%-.--%+27.20%-.--%
21.1 CAD -0.24% - - -.--%
147.1 USD -1.27%-2.08%+10.76%-.--%
93.02 CAD +0.62%-4.10%+0.53%-.--%
38.02 CAD -1.66%-0.68%+0.34%-.--%
175.1 USD +1.24%+0.05%+7.06%-.--%
896.2 USD -0.67%-2.11%+8.15%-.--%
105.1 CAD -0.77%-0.69%-7.31%-.--%
196.8 CAD -0.18%+1.47%+19.63%-.--%
224.7 USD +0.52%+2.75%-18.60%-.--%
254.8 USD -0.10%-4.25%+12.75%-.--%
302.6 USD -0.28%-1.52%-13.78%-.--%
83086d9fe67ed7d1a57f.06e-ezuFYeEKkwX6kLtFXJJ85N1_rFjSsSvjv3rc-X8.murnAl7WGI5n9kOu9doSEadOlK0VzweF60yn0xCWk02D9dozVPNYt0n2MQ

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Fund Structure
Replication Model
Date of creation
15/06/2020
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/05/2024 )

AuM (EUR) 444 M€
AuM 1M 434 M€
AuM 3 months 432 M€
AuM 6 months 384 M€
AuM 12 months 375 M€
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