Components Invesco FTSE RAFI Global Small-Mid ETF - USD

ETF

PZW.U

CA46140D2041

Delayed Toronto S.E. 10:21:00 2024-03-14 EDT 5-day change 1st Jan Change
24 USD +3.49% Intraday chart for Invesco FTSE RAFI Global Small-Mid ETF - USD -.--% -.--%

Composition of Invesco FTSE RAFI Global Small-Mid ETF - USD

Weight
91.41 USD -3.58%+16.79%+92.50%0.26%
877.8 USD -1.41%+15.90%+210.63%0.26%
80.71 USD -3.64%+7.46%+53.49%0.23%
32.22 USD -3.61%-1.01%-34.00%0.19%
2.055 USD -3.29%-7.62%-54.02%0.19%
20.78 USD -2.96%+1.00%-20.31%0.17%
72.3 USD -0.95%+1.50%+81.30%0.17%
15.92 USD -1.70%+1.01%-11.59%0.16%
125.5 EUR -1.38%-6.03%-8.02%0.15%
70.25 USD -0.71%-0.20%+52.48%0.15%
16,590 JPY +2.28%+3.53%+39.06%0.15%
6.925 USD +0.22%-0.15%+18.90%0.15%
131.7 USD -0.32%+1.86%+33.24%0.14%
402.9 USD -3.17%-25.87%-7.59%0.14%
91.68 USD -4.05%+3.94%+55.04%0.14%
84.8 USD -3.50%+0.65%-15.87%0.14%
328.2 USD -3.89%+2.13%-3.06%0.13%
2.355 USD -1.87%-2.07%-36.90%0.13%
28.44 USD +0.16%+1.72%-16.07%0.13%
174.5 USD -0.65%+3.33%-11.67%0.13%
49.08 USD -3.82%-7.84%+11.58%0.13%
106.1 USD -1.65%-1.47%+23.14%0.13%
148.3 USD -2.30%-1.50%-4.90%0.13%
12.08 USD -1.75%-2.98%-10.87%0.13%
189,000 KRW +2.89%+5.76%-6.20%0.12%
293.6 USD +0.06%-0.19%-0.66%0.12%
33.78 USD -0.01%+2.85%-8.32%0.12%
79.32 USD -1.51%-5.17%-12.81%0.12%
105.5 USD -1.58%-2.90%+4.95%0.12%
3,813 JPY -2.28%+2.64%+18.56%0.11%
22.32 USD -2.21%+3.49%+30.43%0.11%
110 CAD -1.00%-0.52%+3.41%0.11%
176.7 USD -2.21%-2.14%+0.92%0.11%
20.21 CAD -2.88%+2.59%+17.62%0.11%
5,701 JPY -0.61%-1.23%-8.31%0.11%
162.7 USD +0.10%+2.76%+12.75%0.11%
5,893 JPY -0.57%-2.19%-11.57%0.11%
253.6 USD -1.83%+0.50%+25.57%0.11%
1,468 USD +2.05%+5.28%-6.54%0.11%
85.46 USD +2.06%+6.69%+21.33%0.11%
310.6 USD -0.02%+0.88%+51.30%0.11%
49.52 USD -1.07%-9.60%-12.06%0.11%
28.46 USD -0.51%-0.39%+2.42%0.11%
175.4 USD -0.33%+4.26%-7.61%0.11%
36.68 USD -1.85%+0.44%+20.70%0.11%
63.06 USD -1.19%+4.60%+0.93%0.11%
76.95 USD -1.62%-0.55%-6.59%0.11%
59.5 USD +1.22%-6.63%-19.82%0.11%
6.975 USD -0.36%+1.89%-29.65%0.11%
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Description

CA46140D2041
Total Expense Ratio 0.50%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
2015-04-19
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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