Quotes Purpose Cash Management Fund - CAD

ETF

MNY

CA74643B1031

Market Closed - Toronto S.E. 15:59:30 2024-05-31 EDT 5-day change 1st Jan Change
100.1 CAD +0.04% Intraday chart for Purpose Cash Management Fund - CAD -0.30% -0.07%
Current month-0.01%
1 month-0.01%

Quotes 5-day view

Delayed Quote Toronto S.E.
Purpose Cash Management Fund - CAD(MNY) : Historical Chart (5-day)
  2024-05-28 2024-05-29 2024-05-30 2024-05-31
Last 100.44 $ 100.01 $ 100.02 $ 100.06 $
Volume 5 755 23 831 14 667 9 077
Change +0.01% -0.43% +0.01% +0.04%
Opening 100.44 100.01 100.02 100.06
High 100.44 100.01 100.02 100.06
Low 100.43 100.00 100.02 100.06

Other stock markets

Markets Price Change Volume

Performance

1 week-0.36%
Current month-0.01%
1 month-0.01%
3 months+0.04%
Current year-0.07%
1 year+0.04%

Volumes

markets
Daily volume
9 077
Estimated daily volume
9 077
Avg. Volume 20 sessions
10 320
Daily volume ratio
0.88
Avg. Volume 20 sessions CAD
1 032 619.20
Avg. Volume 20 sessions USD
757 219.66
Record volume 1
579 214
Record volume 2
468 855
Record volume 3
154 484

Highs and lows

1 week
100.00
Extreme 100
100.44
1 month
100.00
Extreme 100
100.44

Indicators

Moving average 5 days
100.19
Moving average 20 days
100.24
Moving average 50 days
100.23
Moving average 100 days
100.22
Price spread / (MMA5)
+0.13%
Price spread / (MMA20)
+0.18%
Price spread / (MMA50)
+0.17%
Price spread / (MMA100)
+0.16%
STIM
RSI 9 days
28.25
RSI 14 days
44.46

Historical data

DateOpeningHighLowEnd-of-dayVolume

Last transactions

dfb70c28afc3895.rjNp85WHCIu6ATjh1XI_G2KeOeVUYMAztGopr3D9t7E.llZfm-LARM7qSX2N5jgGcg7NDa8eU_N95S0bxiCK4NrxRhvArOZP2t1geQ
DatePriceVolumeDaily volume
15:59:30 100.1 200 9,000
15:59:29 100.1 200 8,800
15:59:29 100.1 300 8,600
15:55:33 100.1 100 8,300
15:55:11 100.1 100 8,200
15:49:10 100.1 500 8,100
15:43:19 100.1 2,100 7,600
15:43:02 100.1 200 5,500
15:15:11 100.1 100 5,300
14:33:32 100.1 1,000 5,200

Description

CA74643B1031
Total Expense Ratio 0.22%
Asset Class
Sector
Currency
Provider

Features and characteristics

Jurisdiction
Fund Structure
Date of creation
2022-09-12
Dividend Policy
Credit Rating
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 352 M€
AuM 1M 323 M€
AuM 3 months 275 M€
AuM 6 months 280 M€
AuM 12 months 128 M€
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