Components Vanguard Global Minimum Volatility ETF - CAD

ETF

VVO

CA92207Q1000

Market Closed - Toronto S.E. 12:12:49 2024-05-10 EDT 5-day change 1st Jan Change
35.44 CAD +1.11% Intraday chart for Vanguard Global Minimum Volatility ETF - CAD +2.58% +7.75%

Composition of Vanguard Global Minimum Volatility ETF - CAD

Weight
559.5 USD -0.92%+1.21%+2.50%1.69%
161.3 USD +0.33%-0.89%+4.07%1.68%
1,947 JPY -0.33%+2.58%+10.66%1.68%
48.68 USD +1.29%+3.33%-3.64%1.67%
1,349 GBX -3.23%-0.92%+21.48%1.66%
67.54 USD +2.40%+3.05%-16.63%1.64%
2,941 JPY +0.93%+0.46%-22.38%1.63%
107.2 USD -0.15%+1.65%+13.31%1.62%
129.3 USD -0.59%+1.35%+18.59%1.61%
151.2 USD +0.87%+1.78%-3.52%1.57%
82.22 USD -0.24%+0.27%-4.60%1.55%
90,100 KRW -0.55%-2.17%+3.68%1.55%
271.3 USD -1.34%+0.75%-8.50%1.53%
60.41 USD -0.12%+0.90%+14.96%1.53%
84 USD +0.93%-1.12%-4.43%1.51%
40.65 CAD +0.44%+2.39%+2.39%1.49%
98.12 USD +0.32%+2.07%-0.20%1.46%
470.6 USD +0.36%+1.68%+3.82%1.46%
210.8 USD -0.32%+0.12%+17.71%1.44%
984.2 GBX -1.34%-0.32%+2.07%1.44%
94.46 USD -0.67%+1.37%+18.50%1.39%
358 USD -1.34%+2.39%+14.34%1.39%
167.6 USD +0.25%-0.62%+2.45%1.36%
116.4 USD -0.26%-1.66%+10.38%1.31%
188.2 USD -0.53%+0.81%+14.14%1.29%
45.06 USD +0.27%+2.64%-12.18%1.29%
2,307 GBX -0.04%+2.81%+7.50%1.22%
35.55 USD -0.22%+2.16%+10.71%1.21%
222.8 USD +0.46%+1.19%+11.87%1.12%
2,218 JPY +0.52%-1.51%+7.43%1.12%
222.9 USD -0.75%-0.50%+8.54%1.11%
1,800 USD -2.49%-2.98%+19.60%1.05%
28.6 HKD +2.69%+5.93%-5.61%1.05%
62.49 USD +1.02%+4.08%+11.77%0.97%
511.7 USD -0.21%+3.51%-2.80%0.96%
14.43 AUD +0.77%+0.35%+6.10%0.96%
1,196 GBX -0.21%+1.06%+1.96%0.96%
1,518 JPY 0.00%+0.23%+20.56%0.94%
4,361 JPY -0.52%+1.96%+20.47%0.93%
10.64 EUR +0.61%+2.06%+3.26%0.90%
3,323 JPY +0.42%-2.21%+6.95%0.90%
93.07 CHF +0.81%+5.64%+9.66%0.88%
3 USD -12.28%-18.70%-17.81%0.87%
120.4 CAD +1.75%+2.15%+26.08%0.85%
46.23 USD +0.61%+3.01%+6.94%0.83%
1,592 JPY -0.03%+0.38%+10.83%0.83%
6545286.Zjf16ZRqHTzWdCYvAg3IwZ5y11nCznOEpIK275ZNOZM.VmekvsI5JXqTLQtscki_9fggjQuolBX37bHxntMSQPIxeZqKoh1yb5UTVQ

Description

CA92207Q1000
Total Expense Ratio 0.40%
Asset Class
Sector
Size
Currency
Provider

Features and characteristics

Jurisdiction
Date of creation
2016-06-20
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 19 M€
AuM 1M 18 M€
AuM 3 months 20 M€
AuM 6 months 20 M€
AuM 12 months 23 M€
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