Components BMO MSCI Emerging Markets Index ETF - CAD

ETF

ZEM

CA05576Y1088

Delayed Toronto S.E. 13:02:30 2024-05-06 EDT 5-day change 1st Jan Change
20.8 CAD -0.34% Intraday chart for BMO MSCI Emerging Markets Index ETF - CAD +1.37% +8.41%

Composition of BMO MSCI Emerging Markets Index ETF - CAD

Weight
786 TWD +0.77%+0.51%+32.55%6.71%
77,600 KRW -0.51%+1.17%-1.15%4.10%
370.2 HKD +1.59%+6.26%+26.09%3.54%
2,839 INR -1.01%-2.27%+9.83%1.33%
139.3 USD -0.65%+10.02%-4.63%1.23%
1,146 INR +0.37%+3.47%+15.02%0.87%
1,426 INR +0.68%-0.30%-7.58%0.87%
173,200 KRW -0.23%-2.59%+22.40%0.85%
1,523 INR +0.20%+0.85%-10.92%0.81%
5.22 HKD +0.77%+5.03%+12.26%0.81%
64.16 BRL +1.31%+0.41%-16.89%0.76%
120.3 HKD +0.50%+4.07%+46.89%0.75%
1,035 TWD -0.48%+2.99%+1.97%0.71%
80.3 SAR -0.86%+2.16%-7.17%0.64%
167.5 TWD +7.37%+8.06%+60.29%0.60%
3,921 INR +2.02%+2.61%+3.37%0.59%
40.09 BRL +3.50%-4.86%+7.68%0.51%
32.35 BRL +0.47%+1.19%-4.80%0.48%
9,800 IDR -0.51%+1.82%+4.26%0.48%
3,759 ZAR +1.59%+3.70%+20.16%0.45%
4.29 HKD +0.23%+3.37%+12.30%0.45%
18.1 HKD -0.44%+4.26%+16.03%0.43%
35.85 SAR -2.45%-4.27%-7.24%0.43%
3.55 HKD +1.72%+2.60%+19.13%0.43%
1,144 INR +0.27%+1.25%+3.74%0.42%
3,462 INR -1.06%-3.89%-1.84%0.40%
226 HKD -0.18%+6.20%+5.41%0.40%
1,283 INR +0.52%-3.18%+24.25%0.39%
403,500 KRW +1.13%+2.28%-19.22%0.39%
2,255 INR +1.80%+1.52%-15.32%0.37%
173.3 MXN +0.42%+0.08%+1.51%0.37%
201.3 MXN +1.01%-1.84%-8.92%0.36%
4,790 IDR +0.84%-0.83%-16.33%0.36%
1,625 INR +5.01%+1.02%-14.85%0.35%
6,860 INR -1.03%+1.91%-6.39%0.34%
29.95 SAR -0.17%-0.66%-9.24%0.33%
194,600 KRW +3.07%+7.22%-13.12%0.32%
64.34 MXN +1.34%-3.19%-10.10%0.31%
0.856 KWD -0.47%-1.04%+0.54%0.31%
241,000 KRW -3.21%-3.41%+18.43%0.31%
37.8 SAR +1.34%-0.26%-6.44%0.31%
6599e312fbc.SoJISUREsgy9ifDhFeBBcAt7HCxEzgpAu5Ue4-gGqrs.H7QRH30s0TrP_cGgcLQQXVkORRUG-lw31uZotqpR9dE-x344PAf6SIXeqQ

ETF Ratings

Description

CA05576Y1088
Total Expense Ratio 0.28%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Emerging Markets Net Total Return Index - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2009-10-19
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 916 M€
AuM 1M 900 M€
AuM 3 months 860 M€
AuM 6 months 845 M€
AuM 12 months 1,137 M€
  1. Stock Market
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  4. Components BMO MSCI Emerging Markets Index ETF - CAD
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