Components RBC Quant U.S. Dividend Leaders ETF - CAD

ETF

RUD

CA74930L1031

Market Closed - Toronto S.E. 03:56:58 2024-06-28 pm EDT 5-day change 1st Jan Change
67.2 CAD -0.27% Intraday chart for RBC Quant U.S. Dividend Leaders ETF - CAD -1.26% +21.52%

Composition of RBC Quant U.S. Dividend Leaders ETF - CAD

Weight
159 USD -0.95%-3.21%+24.56%-.--%
14.56 USD +2.54%+0.21%-21.80%-.--%
39.16 USD +2.30%+1.77%-10.70%-.--%
114.4 USD +0.36%+2.73%-1.46%-.--%
56.94 USD +0.67%+2.26%+20.76%-.--%
47.4 USD +0.83%+3.45%+4.64%-.--%
63.85 USD +1.54%+6.17%+0.20%-.--%
53.72 USD +1.26%-0.79%+23.15%-.--%
117.2 USD -0.12%-0.46%+13.00%-.--%
11.28 USD +0.58%+5.76%-27.29%-.--%
124.8 USD -0.95%-1.29%-1.89%-.--%
12.54 USD +2.53%+5.91%+2.87%-.--%
19.11 USD +1.92%+3.86%+13.89%-.--%
30.9 USD +0.26%+0.46%+5.10%-.--%
441.2 USD -0.36%-3.01%+3.43%-.--%
63.86 USD -1.07%-1.59%+4.77%-.--%
321.3 USD -6.41%-5.20%+18.69%-.--%
97.19 USD +1.48%+1.07%+4.23%-.--%
148 USD +0.90%+1.31%+3.95%-.--%
199.2 USD +2.07%-6.28%+37.72%-.--%
824.5 USD +1.18%+0.97%+41.84%-.--%
138.2 USD -0.83%-0.91%+13.74%-.--%
1,065 USD +0.85%+1.38%+35.95%-.--%
39.77 USD +1.32%+0.71%+18.12%-.--%
62.35 USD -0.08%-0.89%+1.95%-.--%
225.3 USD -1.17%-4.81%+9.70%-.--%
427.2 USD -0.73%-3.11%+12.47%-.--%
541.9 USD +1.14%+1.39%+14.91%-.--%
79.31 USD +1.67%-0.19%-21.68%-.--%
236 USD +1.49%+0.25%+45.61%-.--%
85.98 USD -1.42%-1.01%+123.21%-.--%
447 USD -1.30%-0.63%+18.86%-.--%
54.23 USD +1.31%+1.99%+12.11%-.--%
41.53 USD +0.05%-0.95%-19.06%-.--%
88.12 USD +0.44%+1.53%+2.00%-.--%
330.6 USD -1.07%-2.77%+10.39%-.--%
262.5 USD -1.55%-4.63%+0.81%-.--%
61.11 USD +1.04%+4.87%+6.48%-.--%
98.32 USD -1.30%-6.03%-2.46%-.--%
13.52 USD +1.88%-2.52%+52.08%-.--%
47.51 USD +0.13%+0.47%-5.96%-.--%
136.5 USD -0.10%-0.12%-4.29%-.--%
210.6 USD -1.63%+1.51%+9.40%9.07%
123.5 USD -0.42%-2.45%+149.32%3.94%
171.5 USD +1.50%+0.66%+10.68%3.91%
344.2 USD +0.81%-3.25%-0.67%3.50%
184.5 USD +1.05%+1.33%-4.74%2.75%
49.93 USD +1.13%-0.56%+9.23%2.14%
102.2 USD -0.95%-0.20%-6.52%2.01%
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Description

CA74930L1031
Total Expense Ratio 0.43%
Asset Class Actions
Sector
Size
Currency
Provider

Features and characteristics

Dividend Policy Distribution
Jurisdiction
Fund Structure
Date of creation
2014-01-14
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 354 M€
AuM 1M 333 M€
AuM 3 months 328 M€
AuM 6 months 288 M€
AuM 12 months 268 M€
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