Components RBC Quant Emerging Markets Dividend Leaders ETF - CAD

ETF

RXD

CA74932U1012

Delayed Toronto S.E. 02:16:08 2024-07-11 pm EDT 5-day change 1st Jan Change
21.23 CAD +0.90% Intraday chart for RBC Quant Emerging Markets Dividend Leaders ETF - CAD +1.35% +9.81%

Composition of RBC Quant Emerging Markets Dividend Leaders ETF - CAD

Weight
1,080 TWD +3.35%+10.32%+82.12%3.81%
1,420 TWD -1.05%+1.07%+39.90%3.33%
2,592 INR -1.05%+1.51%-2.52%3.15%
3,924 INR +0.37%-1.05%+3.43%2.78%
3,008 INR -0.95%+4.44%+18.91%2.75%
579 TWD +1.58%-6.46%+11.99%2.69%
1,021 INR +1.52%+4.62%+30.74%2.42%
384.8 HKD +1.91%+1.42%+31.06%2.07%
5.53 HKD +1.84%-4.66%+18.92%2.06%
3,022 INR +0.85%+3.30%-11.18%1.97%
87,600 KRW -0.23%+7.09%+11.59%1.94%
24.56 CNY -1.25%-0.49%+85.36%1.90%
35.3 TWD +1.15%+1.88%-11.42%1.80%
82.34 CNY +2.75%+10.52%-16.71%1.56%
14.6 MYR +1.39%+2.96%+45.42%1.55%
26.4 BRL -1.21%-1.64%-4.64%1.32%
5,761 JPY -0.36%-1.01%-12.49%1.27%
11.04 BRL +2.89%+4.25%-24.19%1.27%
282.1 CNY +1.15%+0.54%-2.92%1.21%
1,595 TWD -0.62%-0.31%-8.33%1.07%
513 TWD +0.98%+6.99%+4.80%1.00%
126,250 KRW +2.64%+1.41%+31.85%1.00%
44.86 BRL +1.84%+7.09%+21.54%1.00%
581 TWD +1.93%+6.80%+23.22%0.92%
38.37 BRL +1.89%+2.84%+3.06%0.91%
116.3 HKD -1.36%-11.15%+6.70%0.90%
13.46 HKD +3.38%-3.99%-7.43%0.88%
1,965 TWD -1.75%+11.02%+14.91%0.87%
49,250 KRW -0.71%+0.31%-1.50%0.87%
9,900 KRW +1.02%+1.96%-3.23%0.86%
29.6 CNY +6.02%-0.74%-46.94%0.83%
578 TWD +0.52%+6.45%+10.52%0.75%
52,000 KRW +1.96%+4.73%+3.17%0.73%
1,512 INR +0.13%+2.09%+3.12%0.71%
896.5 CZK +0.34%+1.88%-6.78%0.71%
33.82 BRL +1.08%+1.41%-12.20%0.70%
235,500 KRW +0.86%-1.26%-0.63%0.66%
10.71 BRL -14.66%+3.28%+21.28%0.66%
3,860 INR +0.39%+1.64%+9.91%0.64%
193 ZAR +0.21%+2.43%-5.61%0.64%
678 PLN +0.15%-3.14%+8.31%0.63%
0.579 KWD +0.17%+2.66%+2.30%0.60%
9522b134ee0bee2ddd24f49f84d108.HcpAgj06fxBV7zN9Sw05eDyahlekJD2aOITYqkm15r8.Uowq-G9cCFky2lc3cnt6EQTVwQfVTHvvYdyJ4Cbch9crgyTEaXw5ezm1RA

Description

CA74932U1012
Total Expense Ratio 0.71%
Asset Class Actions
Sector
Size
Currency
Provider

Features and characteristics

Dividend Policy Distribution
Jurisdiction
Fund Structure
Date of creation
2014-10-21
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 28 M€
AuM 1M 29 M€
AuM 3 months 29 M€
AuM 6 months 27 M€
AuM 12 months 27 M€
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