Components BMO S&P US Mid Cap Index ETF - CAD

ETF

ZMID

CA05589X1050

Delayed Toronto S.E. 10:38:24 2024-04-29 EDT 5-day change 1st Jan Change
42.68 CAD +0.90% Intraday chart for BMO S&P US Mid Cap Index ETF - CAD 0.00% 0.00%

Composition of BMO S&P US Mid Cap Index ETF - CAD

Weight
838 USD +0.54%+3.30%+25.21%0.68%
290.8 USD +0.07%-9.01%+3.95%0.63%
400.1 USD -0.12%+8.22%+28.27%0.60%
124.5 USD -0.42%+2.29%+16.98%0.59%
480 USD +0.60%+4.32%+7.07%0.58%
443.2 USD +0.00%+8.97%+3.38%0.58%
82.6 USD +0.05%-6.46%-4.91%0.58%
108.3 USD +0.83%+0.32%-3.05%0.57%
55.82 USD +1.43%-1.10%-14.21%0.57%
50.68 USD +0.57%+2.43%-0.74%0.53%
879.2 USD +2.54%+22.32%+208.54%0.53%
42.88 USD +0.99%-0.26%-13.13%0.52%
61.06 USD +0.88%-2.73%-13.54%0.52%
171.9 USD +2.02%+4.57%+16.01%0.52%
46.58 USD -1.11%+2.44%-14.70%0.52%
209.4 USD +0.20%-8.40%-2.87%0.52%
76.7 USD +5.50%+14.55%+98.42%0.52%
138.2 USD +1.64%+3.27%+4.75%0.51%
284.6 USD +0.86%+1.49%+40.94%0.51%
94.1 USD +0.06%+1.64%+1.88%0.51%
226.3 USD -1.58%-3.68%+4.15%0.49%
182 USD -1.18%+2.49%-6.38%0.49%
112 USD +0.96%+3.16%+0.34%0.48%
43.47 USD +0.62%+1.19%-22.42%0.47%
412 USD +1.20%+7.48%+10.46%0.47%
422.3 USD -1.51%-18.62%-2.95%0.47%
148.1 USD -1.29%+0.14%-30.19%0.47%
81.16 USD +0.71%+2.12%-11.92%0.44%
53.57 USD +0.58%+2.47%+21.74%0.44%
121.5 USD +1.07%+7.02%+18.49%0.44%
36.92 USD -1.35%-4.93%-24.10%0.43%
69.26 USD +0.59%+0.32%+0.12%0.43%
37.28 USD +1.07%+0.59%+11.80%0.42%
41.4 USD +1.57%-1.90%-10.77%0.42%
190.5 USD +0.92%+0.82%+17.65%0.42%
18.04 USD +0.92%-13.19%-11.36%0.42%
322.9 USD +0.89%+2.93%+17.44%0.41%
111 USD +0.05%-4.58%+26.48%0.41%
51.74 USD +0.76%+2.48%+13.83%0.41%
239.4 USD +2.38%+1.91%+8.48%0.41%
76.5 USD +0.69%+2.65%+6.24%0.40%
363.9 USD +2.80%+9.40%+68.89%0.40%
221.2 USD +0.97%-2.73%+12.56%0.40%
72.92 USD +1.64%+4.80%+6.49%0.40%
88.22 USD +0.82%+2.43%-7.93%0.40%
205.6 USD +0.58%+1.11%-18.40%0.40%
19.14 USD +1.40%+4.39%-1.21%0.39%
164.1 USD -0.00%+0.22%+10.86%0.39%
76.12 USD +3.04%+15.36%+10.49%0.39%
75.44 USD -0.34%+6.11%+27.81%0.39%
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ETF Ratings

Description

CA05589X1050
Total Expense Ratio 0.17%
Asset Class
Sector
Size
Currency
Provider
Underlying S&P MidCap 400 Net Total Return Index - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2020-02-10
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 198 M€
AuM 1M 187 M€
AuM 3 months 174 M€
AuM 6 months 157 M€
AuM 12 months 193 M€
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