Components First Trust Cloud Computing ETF - CAD

ETF

SKYY

CA33745D1024

Market Closed - Toronto S.E. 15:55:13 2024-04-26 EDT 5-day change 1st Jan Change
22.38 CAD +1.63% Intraday chart for First Trust Cloud Computing ETF - CAD +4.14% +9.54%

Composition of First Trust Cloud Computing ETF - CAD

Weight
1.75 USD +4.17%+9.38%-12.50%3.92%
264.7 USD -0.02%+7.56%+12.39%3.88%
52.95 USD +1.40%+7.06%+48.49%3.84%
167.1 USD -1.05%-7.96%+2.19%3.84%
406.3 USD +1.82%+1.80%+8.05%3.69%
179.6 USD +3.43%+2.86%+18.22%3.67%
172 USD +10.22%+11.59%+23.09%3.65%
33.51 USD +3.30%+3.33%-8.67%3.49%
117.2 USD +2.02%+2.03%+11.17%3.36%
1.21 USD 0.00%-7.63%-33.88%2.50%
47.86 USD -0.50%-0.95%-5.27%2.45%
101.7 USD -0.11%+0.18%-14.09%2.41%
88.01 USD +1.44%+4.65%+5.71%2.37%
80.62 USD +0.86%+3.54%-20.59%2.29%
60.89 USD +1.47%+5.80%-19.74%2.06%
383.8 USD +4.83%+17.20%-6.13%2.04%
12.95 USD +4.44%+5.28%-27.25%1.95%
30.64 USD +2.10%+4.36%-9.75%1.91%
274.3 USD +0.42%+1.45%+4.24%1.91%
32.59 USD -0.70%+35.96%+37.86%1.86%
17.17 USD +1.18%+2.26%+1.12%1.81%
723.6 USD +1.02%+1.35%+2.41%1.80%
101.3 USD +0.39%+3.45%+14.94%1.77%
179.4 USD -9.56%-6.32%-24.56%1.74%
29.75 USD +2.98%+10.64%+27.14%1.72%
120.8 USD -0.31%-0.49%-1.80%1.72%
71.33 USD +1.11%+2.38%-8.43%1.71%
631.1 USD -0.78%-0.02%+8.71%1.65%
73.82 USD +6.66%+10.51%+85.24%1.62%
477.6 USD +0.87%+2.70%-19.95%1.51%
7.59 USD -0.39%-1.43%-26.24%1.31%
37.56 USD +3.76%+8.71%-0.27%1.19%
15.08 USD +3.15%+10.96%-20.67%0.78%
242.8 USD +12.05%+16.43%+40.12%0.73%
35.53 USD +0.40%+3.02%+7.63%0.72%
177 USD +1.28%+4.63%-20.09%0.70%
38.28 USD +0.53%+4.02%-19.95%0.70%
157.1 USD +0.31%-0.10%-4.73%0.69%
51.39 USD +0.06%+0.80%-16.36%0.68%
9.95 USD +0.91%+7.57%+5.85%0.66%
84.73 USD +1.67%+9.61%+17.75%0.66%
188.9 USD +1.24%+3.08%-8.63%0.65%
24.15 USD +0.92%+5.09%-18.08%0.65%
26.85 USD -0.48%+0.67%+4.84%0.65%
251 USD -1.19%-0.47%-9.06%0.64%
57.2 USD -0.26%+2.69%-3.78%0.64%
158.1 USD +3.69%+8.72%-20.54%0.64%
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Description

CA33745D1024
Total Expense Ratio 0.76%
Asset Class
Sector
Size
Currency
Provider
Underlying ISE CTA Cloud Computing NTR Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2014-10-29
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-26 )

AuM (EUR) 2 M€
AuM 1M 2 M€
AuM 3 months 2 M€
AuM 6 months 2 M€
AuM 12 months 2 M€
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