Components BMO International Dividend ETF - CAD

ETF

ZDI

CA09658Q1081

Delayed Toronto S.E. 11:26:20 2024-06-03 EDT 5-day change 1st Jan Change
24.29 CAD -0.25% Intraday chart for BMO International Dividend ETF - CAD 0.00% +8.83%

Composition of BMO International Dividend ETF - CAD

Weight
44.81 AUD +0.67%+0.38%-11.11%2.69%
5,434 GBX -0.77%-2.77%-6.98%2.64%
65.92 EUR -1.63%-0.72%+7.01%2.49%
738 EUR +0.42%-2.41%+0.60%2.46%
232.1 CHF +0.48%+0.96%-5.07%2.46%
96.46 CHF +0.94%+4.44%-1.08%2.45%
92.73 CHF -0.47%+0.76%+9.26%2.43%
3,341 JPY -1.76%-1.53%+28.97%2.36%
270.8 EUR +0.93%+1.73%+11.92%2.19%
90.11 EUR +0.39%+0.28%+0.39%2.09%
923.9 DKK -0.37%+0.46%+32.34%2.01%
4,307 GBX +0.65%+1.20%+13.34%1.97%
178.2 EUR +1.08%-0.42%+4.85%1.94%
12,346 GBX +1.28%+2.64%+16.47%1.94%
68.06 EUR +0.53%+1.49%+8.74%1.92%
6.75 EUR +1.41%+1.34%+0.30%1.82%
33.14 EUR +0.27%-1.63%+12.38%1.74%
22.64 EUR +1.57%+4.04%+4.09%1.69%
474 CHF +0.06%+0.34%+7.83%1.67%
115 EUR -0.04%-4.53%+2.82%1.65%
303.8 NOK +0.33%+0.07%-5.68%1.56%
1,696 JPY +2.29%+7.96%+39.99%1.50%
449.2 EUR -0.63%-0.02%-0.31%1.50%
880.5 EUR +1.11%-0.24%+29.16%1.45%
155 JPY +0.45%+1.57%-10.04%1.34%
168.3 EUR +1.39%-6.74%+20.63%1.33%
12.25 EUR +1.24%+0.41%+3.20%1.28%
16.47 EUR +0.64%+1.44%+21.75%1.25%
1,598 GBX -9.54%-8.16%+10.19%1.21%
14.55 SGD +0.28%+0.69%+11.92%1.16%
27.93 AUD +0.83%0.00%-10.08%1.12%
47.94 EUR -0.98%-1.69%-1.73%1.09%
886 GBX +0.41%+1.07%-16.26%1.09%
128.6 SEK -0.27%-1.00%+3.15%1.06%
226.6 EUR -0.40%-4.67%+24.63%1.03%
59.85 HKD -0.99%-0.99%-12.05%1.00%
44 EUR +1.01%-1.68%+11.59%0.98%
8,077 JPY +1.34%-1.19%+52.45%0.92%
2,639 GBX +0.32%+0.38%-7.60%0.90%
10,445 JPY +1.51%+6.70%+51.82%0.89%
4,356 JPY +0.44%+1.26%-2.90%0.88%
12,055 DKK -3.29%-1.27%-0.70%0.85%
7,530 JPY +1.62%+4.13%+30.57%0.85%
74.5 HKD -1.06%-3.43%-11.78%0.84%
30.88 SGD +0.29%+1.08%+8.54%0.84%
28.46 CHF -0.11%+0.11%+9.04%0.84%
4,202 JPY +0.69%+1.64%+3.65%0.82%
113.6 CHF -1.00%+0.93%+20.08%0.79%
1,766 JPY -0.23%+1.82%+20.43%0.78%
285.2 SEK +1.13%-0.11%+8.98%0.75%
fac.Yn4tS7zZGKh1FnNvALiRAb5mndUzqPaZsjTI36W4sNc.MxVyfPa2TP4kZQI2Wuj2Q9IEpZNwy6bB10ydp8qO0uIFRxkY_el-yjJ6Mg

Description

CA09658Q1081
Total Expense Ratio 0.44%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
2014-11-10
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 325 M€
AuM 1M 324 M€
AuM 3 months 310 M€
AuM 6 months 282 M€
AuM 12 months 339 M€
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