Otros idiomas Invesco 1-3 Year Laddered Floating Rate Note Index ETF - CAD

ETF

PFL

CA46140U1075

Mercado cerrado - Toronto S.E. 21:59:30 31/05/2024 Varia. Cinco días. Varia. 1 de enero.
19,58 CAD +0,05 % Gráfico intradía de Invesco 1-3 Year Laddered Floating Rate Note Index ETF - CAD -0,36 % -0,20 %
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces Distribution for the Month of January 2017, Payable on February 7, 2017
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Estimates Distribution for the Month of December 2016, Payable on January 9, 2017
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces Distribution for the Month of November 2016, Payable on December 7, 2016
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces Distribution for the Month of October 2016, Payable on November 7, 2016
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces September 2016 Distribution, Payable on October 7, 2016
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces Dividend for the Month of August 2016, Payable on September 8, 2016
Powershares 1-3 Year Laddered Floating Rate Note Index ETF Announces Dividend for the Month of July 2016, Payable on August 8, 2016
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces Dividend for the Month of June 2016, Payable on July 8, 2016
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces May 2016 Monthly Distribution, Payable on June 7, 2016
­­­­­­­­­PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces April 2016 Monthly Distribution, Payable on May 6, 2016
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces March 2016 Monthly Distribution, Payable on April 7, 2016
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces Distribution, Payable on February 5, 2016
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces December 2015 Monthly Distribution, Payable on January 8, 2016
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces November 2015 Monthly Distribution, Payable on December 7, 2015
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces October 2015 Monthly Distribution, Payable on November 6, 2015
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces September 2015 Monthly Distributions, Payable on October 7, 2015
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces August 2015 Monthly Distributions payable on September 8, 2015
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces July 2015 Monthly Distribution, Payable on August 10, 2015
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces June 2015 Monthly Distribution, Payable on July 8, 2015
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Declares Distribution for the Month of May 2015 Payable on June 5, 2015
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Declares Cash Distribution for the Month Ended April 2015, Payable on May 7, 2015
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Declares Distribution for the Month of February 2015, Payable on April 8, 2015
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Declares Distribution for the Month of February 2015, Payable on March 6, 2015
Powershares 1-3 Year Laddered Floating Rate Note Index ETF Declares Monthly Distributions Payable on February 6, 2015
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Announces Cash Distribution for the Month of December 2014, Payable on January 8, 2015
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Declares Cash Distribution for the Month of November 2014, Payable on December 5, 2014
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Declares Cash Distribution for the Month of October 2014, Payable on November 7, 2014
PowerShares 1-3 Year Laddered Floating Rate Declares Cash Distribution for the Month of September 2014, Payable on October 7, 2014
PowerShares 1-3 Year Laddered Floating Rate Note Index ETF Declares Distribution for the Month of August 2014, Payable on September 8, 2014

Descripción

Código ISIN CA46140U1075
Ratio de gastos total 0.04%
Tipos de activos
Moneda
Proveedor
Subyacente FTSE TMX Canada 1-3 Year Laddered Floating Rate Note TR Index - CAD

Características

Jurisdicción
Estructura del fondo
Método de réplica
Modelo de réplica
Fecha de creación
20/07/2014
Política de dividendos
Rating crediticio
Enfoque geográfico

Distribución

Inversor particular

Evolución del AuM ( 30/04/2024 )

AuM (EUR) 446 M€
AuM 1M 465 M€
AuM 3 meses 462 M€
AuM 6 meses 442 M€
AuM 12 meses 520 M€
-40% Oferta por Tiempo Limitado: Nuestras suscripciones le guían hacia las mejores inversiones del mañana.
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