Components TD Canadian Equity Index ETF - CAD

ETF

TTP

CA87240Y1025

Delayed Toronto S.E. 10:24:02 2024-06-20 EDT 5-day change 1st Jan Change
24.86 CAD +0.65% Intraday chart for TD Canadian Equity Index ETF - CAD -1.35% +4.28%

Composition of TD Canadian Equity Index ETF - CAD

Weight
66.17 CAD +0.46%+1.41%-3.80%-.--%
131.2 CAD -1.15%+6.93%+10.06%-.--%
23.12 CAD +2.21%+4.67%-3.55%-.--%
188.2 CAD +0.66%-1.19%+4.37%-.--%
30.04 CAD +0.81%+1.62%-5.83%-.--%
28.51 CAD +3.04%+0.35%+35.80%-.--%
7.08 CAD +1.43%+1.29%+13.28%-.--%
12.36 CAD +0.32%-2.45%-11.75%-.--%
26.4 CAD +0.38%+0.96%-8.27%-.--%
31 CAD +0.42%-1.08%+19.55%-.--%
21.81 CAD +0.41%-1.36%-12.37%-.--%
173.7 USD +0.35%+3.87%+16.26%-.--%
70.48 CAD +0.05%-1.66%+18.24%-.--%
136.6 CAD +1.37%-0.27%-3.65%-.--%
7.44 CAD +0.54%+6.29%+15.53%-.--%
141.5 CAD -0.20%-1.37%+5.56%-.--%
1.92 CAD -2.54%-6.80%-30.94%-.--%
34.2 CAD +5.69%+4.72%-2.45%-.--%
151.3 CAD +0.42%+1.53%+1.90%-.--%
107.5 CAD +0.51%-0.21%+6.48%-.--%
35.58 CAD +0.06%-0.61%-7.30%-.--%
14.57 CAD +0.28%-1.22%-4.95%-.--%
13.76 CAD +0.88%+1.03%+0.44%-.--%
65.46 CAD +1.54%+0.09%+16.53%-.--%
17.09 CAD -0.81%-0.70%-8.61%-.--%
21.51 CAD +0.70%+2.77%+20.76%-.--%
12.34 CAD 0.00%-2.22%-10.58%-.--%
39.13 CAD -0.13%+0.23%-10.88%-.--%
16.9 CAD +1.81%+1.26%+22.77%-.--%
2.83 CAD -0.70%-3.75%+21.55%-.--%
38.85 CAD -1.09%+3.03%+41.13%-.--%
43.92 CAD +0.32%-1.19%-22.28%-.--%
11.42 CAD +0.97%-7.31%-20.47%-.--%
5.01 CAD +1.21%+2.66%+20.14%-.--%
5.78 USD +0.70%+0.17%-32.05%-.--%
14.96 CAD +1.42%+0.91%+38.05%-.--%
0.42 CAD +1.20%0.00%-10.64%-.--%
74.28 CAD +0.42%-0.43%-13.29%4.60%
48.23 CAD +2.12%+2.82%+11.02%3.63%
64.57 USD +0.50%-0.76%-17.59%3.61%
47.82 CAD +0.53%-1.50%+0.34%3.29%
160.2 CAD +0.12%-4.18%-3.86%3.10%
115.7 CAD -0.03%-0.27%-11.73%2.78%
55.86 CAD +1.03%-0.82%+5.17%2.74%
62.88 CAD -0.29%-2.71%-2.54%2.40%
3,738 CAD -0.67%-1.26%+13.77%2.27%
51.46 CAD +1.34%+1.38%+21.11%2.24%
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ETF Ratings

Description

CA87240Y1025
Total Expense Ratio 0.05%
Asset Class
Sector
Size
Currency
Provider
Underlying Solactive Canada Broad Market Index NTR - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2016-03-21
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 1,221 M€
AuM 1M 1,174 M€
AuM 3 months 1,124 M€
AuM 6 months 995 M€
AuM 12 months 935 M€
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