Components AGF Systematic Emerging Markets Equity ETF - CAD

ETF

QEM

CA00850F1071

Market Closed - Toronto S.E. 10:33:57 2024-05-09 EDT 5-day change 1st Jan Change
24.44 CAD -1.33% Intraday chart for AGF Systematic Emerging Markets Equity ETF - CAD -1.85% +4.31%

Composition of AGF Systematic Emerging Markets Equity ETF - CAD

Weight
9.87 MYR +0.30%+0.71%+11.02%-.--%
3.06 HKD +2.68%+2.34%-7.55%-.--%
17.38 HKD +5.46%+8.90%+57.43%-.--%
1,117 INR +0.12%-2.19%+12.09%-.--%
5.2 HKD +4.47%+3.79%-0.19%-.--%
451.7 INR -0.71%-1.13%-4.24%-.--%
79,200 KRW -0.63%+1.54%+0.89%-.--%
4,019 INR -0.65%-0.00%+35.46%-.--%
68.34 PLN +1.12%+3.34%+4.34%-.--%
182.3 ZAR +0.19%+0.95%-12.38%-.--%
97,500 KRW +4.50%+6.56%-4.22%-.--%
37.84 USD -0.66%-1.48%-10.82%-.--%
2,815 INR +0.95%-1.85%+8.89%-.--%
70.06 ZAR +0.19%+3.96%-3.76%-.--%
371 HKD +0.32%+2.94%+26.36%-.--%
30.62 BRL +1.16%+14.17%+6.47%-.--%
12.4 MYR -0.32%+0.65%+23.51%-.--%
3.39 AED -0.88%-2.02%-8.38%-.--%
56.75 HKD -1.90%-4.14%+7.18%-.--%
16.75 AED +0.30%+0.30%-3.18%-.--%
319 TWD -1.24%-2.60%+1.75%-.--%
1,610 INR +1.62%-2.74%+21.68%-.--%
15.1 BRL -4.19%-7.93%-13.32%-.--%
5.09 HKD +5.38%+10.17%+24.45%-.--%
1,630 INR -0.72%+5.38%-14.55%-.--%
24.48 BRL -8.00%-8.07%-7.66%-.--%
23.41 CNY +0.60%-0.55%+4.88%-.--%
3,640 INR +0.64%-7.10%+13.56%-.--%
204,000 KRW +10.57%+14.48%-15.18%-.--%
5.64 HKD +6.82%+9.94%+21.29%-.--%
802 TWD +0.75%+2.82%+35.24%7.93%
1,438 INR -0.66%-5.38%-15.88%1.75%
77.2 TWD +1.18%+1.58%+3.62%1.27%
125.5 TWD -0.40%+1.21%+4.58%1.26%
33.75 THB 0.00%0.00%-5.59%1.23%
5,917 INR +0.64%-6.82%+2.05%1.12%
153,600 KRW -0.65%+0.33%+0.26%1.10%
18.6 TWD +1.09%+1.92%+3.91%1.09%
1,128 INR +1.10%-2.09%+4.02%1.07%
880 PHP +0.34%-5.98%+0.92%1.04%
6.32 MYR +0.32%+0.48%+4.81%1.03%
59 THB +1.29%+1.29%+5.36%1.02%
127.6 INR +1.71%-2.71%+25.15%0.98%
3.74 HKD +3.31%+7.47%+25.50%0.96%
5b6d1f71e21f3f960a1d3d56e.-DN9lBpXIkUJyPqyjCDjSqxXyklUfCVZDKyzQW9KaOo.l1AO2WwCZHx9nszX6UmxfpQ9nyMhPnFsNfPXF0IEPaO3YjbXKWJhLGX6iQ

Description

CA00850F1071
Total Expense Ratio 0.45%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Date of creation
2017-01-29
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
  1. Stock Market
  2. ETF
  3. QEM ETF
  4. Components AGF Systematic Emerging Markets Equity ETF - CAD
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