Components BMO Global Consumer Staples Hedged to CAD Index ETF - CAD Hedged

ETF

STPL

CA09659R1055

Market Closed - Toronto S.E. 12:36:35 2026-07-24 EDT 5-day change 1st Jan Change
25.47 CAD +1.03% Intraday chart for BMO Global Consumer Staples Hedged to CAD Index ETF - CAD Hedged +0.79% +6.52%

Components: BMO Global Consumer Staples Hedged to CAD Index ETF - CAD Hedged

147.41USD+0.30%+2.86%9.75%
82.25USD+1.33%+17.65%7.94%
193.00USD+0.98%+20.32%7.39%
79.18CHF-1.85%+0.93%6.87%
136.64USD+1.25%-4.79%5.82%
4,565.50GBX-0.22%-5.93%3.94%
4,542.00GBX-0.66%+8.04%3.38%
840.90USD+1.99%+2.51%3.05%
72.99USD+1.26%+26.59%2.96%
107.74USD+0.80%+35.76%2.47%
90.75USD+0.74%+14.84%1.98%
60.52USD+0.78%+12.43%1.97%
70.44EUR-1.68%+28.31%1.92%
309.89USD+1.58%-8.25%1.72%
93.49USD-0.07%+21.94%1.54%
70.00EUR0.00%-8.83%1.38%
89.25USD+0.53%+33.15%1.37%
1,577.00GBX+0.93%-1.53%1.21%
33.75EUR+0.39%-3.21%1.1%
83.11USD+1.69%+12.78%1.09%
6,531.00JPY+1.08%+15.80%1.08%
479.70GBX-0.12%+8.71%1.05%
56.87USD+1.99%-8.98%1.04%
29.68USD+0.03%+5.96%1%
109.70USD+2.23%+8.73%0.93%
19.28USD+2.01%+11.77%0.92%
1,378.00JPY+2.91%-44.37%0.88%
2,795.50GBX-0.97%-10.16%0.86%
174.30USD+1.25%-4.22%0.84%
85.92USD-0.50%+49.45%0.82%
39.44AUD+0.66%+34.24%0.8%
5,069.00JPY-0.53%+52.82%0.76%
2,134.50JPY-0.54%-5.15%0.76%
64.35CAD+1.51%+3.71%0.66%
75.92EUR-0.65%+8.86%0.64%
97.64USD+1.51%+16.45%0.63%
36.03USD+1.35%-22.52%0.61%
92.40EUR-0.11%+19.23%0.58%
130.16USD+0.69%-5.65%0.57%
23.53AUD+0.43%+9.75%0.54%
25.67USD+1.22%+5.86%0.53%
3,284.00JPY+1.89%+4.90%0.5%
278.65SEK+0.85%+5.13%0.47%
57.45USD+1.23%-2.00%0.45%
49.96USD-0.46%-26.65%0.45%
64.04EUR+1.81%-12.39%0.44%
1,674.00JPY+1.58%+2.10%0.41%
95.55USD+1.87%-5.24%0.4%
81.10EUR-0.49%+3.97%0.36%
904.30DKK-0.14%+8.41%0.36%

Description

CA09659R1055
Total Expense Ratio 0.40%
Asset Class Stocks
Sector
Size
Currency
Provider
Underlying FTSE Developed ex Korea Consumer Staples Capped 100% Hedged to CAD Total Return Index - CAD
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Fund Structure
Date of creation
2017-04-06

Distribution

Retail investor

AuM evolution - 2026-02-26

AuM (CAD) 36.95M
AuM 1M 34.4M
AuM 3 months 37.18M
AuM 6 months 32.38M
AuM 12 months 40.71M
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