Components iShares Core MSCI Global Quality Dividend Index ETF (CAD-Hedged) - CAD

ETF

XDGH

CA46437B1013

Market Closed - Toronto S.E. 09:30:00 2024-05-21 EDT 5-day change 1st Jan Change
26.49 CAD +0.23% Intraday chart for iShares Core MSCI Global Quality Dividend Index ETF (CAD-Hedged) - CAD +1.38% +8.32%

Composition of iShares Core MSCI Global Quality Dividend Index ETF (CAD-Hedged) - CAD

Weight
286 USD +0.39%-3.12%+19.36%0.25%
27.01 AUD -0.84%+4.65%-6.93%0.25%
333.3 EUR -0.77%-1.64%-16.47%0.25%
2,687 GBX +0.26%+2.58%+36.35%0.24%
53.66 USD -0.43%-2.93%+17.39%0.24%
4,456 JPY +0.11%+2.46%+22.25%0.24%
96.34 USD -0.18%-0.31%+5.90%0.24%
69.91 CAD -0.65%+0.87%+1.73%0.23%
2,960 GBX -0.57%+0.34%+22.26%0.23%
75.15 USD +1.13%+1.91%+22.89%0.23%
34.42 EUR -0.92%-1.52%-16.42%0.22%
81.29 CAD +3.45%+3.57%+8.89%0.21%
4,587 JPY -1.86%-0.86%+10.61%0.21%
29.6 EUR +0.44%+0.07%+13.78%0.21%
2,818 JPY -0.23%+1.28%+40.97%0.21%
30.23 SGD -0.03%+1.14%+6.26%0.21%
70.12 USD -0.93%+2.16%+27.84%0.20%
76.77 USD +0.88%+2.47%+7.39%0.20%
311.9 GBX +0.48%-0.64%+7.37%0.20%
32.69 USD +2.73%+6.27%+8.64%0.20%
4,374 JPY -0.41%-0.41%+20.83%0.20%
84.58 USD -0.13%+0.19%+0.49%0.20%
1,799 GBX -0.94%-1.91%-3.07%0.19%
77.08 USD -0.09%+0.68%-0.49%0.19%
4,690 JPY +0.17%+1.34%+27.17%0.19%
37.78 EUR +0.77%+0.96%+16.39%0.18%
36.48 USD +2.70%+4.38%+19.80%0.18%
100.1 USD +0.04%-1.36%+5.32%0.18%
117.6 USD +0.43%+2.86%+9.23%0.18%
38.04 USD +0.74%-1.12%+10.29%0.18%
6,911 JPY -0.90%+1.51%+18.34%0.17%
153.4 USD +0.74%-1.08%+11.89%0.17%
117.2 USD +0.71%+2.09%+6.28%0.17%
1,502 JPY -0.63%-1.25%-10.91%0.17%
61.22 USD +0.72%+0.53%-0.81%0.16%
23.47 EUR 0.00%-4.90%+22.85%0.16%
17.78 USD -0.11%+0.74%+4.71%0.16%
106.3 EUR -0.19%+0.28%+26.55%0.16%
558.2 CHF -0.57%+0.58%+3.56%0.16%
55.88 CAD +0.70%+0.41%+2.51%0.15%
35.77 EUR +1.91%+3.29%+5.02%0.15%
1,944 GBX +0.26%+3.51%+7.64%0.15%
149.7 USD -1.51%+0.50%-8.89%0.15%
151.5 USD -0.28%-2.62%+9.39%0.15%
170.7 USD +0.32%+0.48%+32.82%0.15%
147.2 USD +1.23%+9.78%+92.47%0.15%
1,857 JPY -0.67%-0.80%-9.77%0.14%
6,967 JPY -0.01%+1.31%+20.12%0.14%
74.56 USD +0.22%-0.43%+3.07%0.14%
83.49 USD -0.06%-0.83%+6.13%0.14%
9f668bee7d5b765c224fb209c15c2d.PUopnQn5UEP1bkCdFaOU4mJk9NrxOSp5UAMbOdfTaR0.T39T1GvJFzKSXQP3Z9qn1yY7nZLcfWZNFzNBTrGCGVRSfHjZeaY8BbsgGQ

ETF Ratings

Description

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2017-06-11
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 45 M€
AuM 1M 45 M€
AuM 3 months 43 M€
AuM 6 months 39 M€
AuM 12 months 41 M€
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