Overview

Fund Profile

Key Facts

Portfolio Strategy

The BMO MSCI ACWI Paris Aligned Climate Equity Index ETF has been designed to replicate, to the extent possible, the performance of the MSCI ACWI Climate Paris Aligned Equity Index, net of expenses. The ETF invests in companies from developed and emerging markets countries with the aim to reduce exposure to transition and physical climate risks while aligning with the Paris Agreement requirements.

Benchmark Info

The MSCI ACWI Climate Paris Aligned Equity Index is based on the parent index, the MSCI ACWI Index, which includes large and mid-capitalization stocks across developed and emerging markets countries. The Index is designed to reduce exposure to transition and physical climate risks while aligning with the Paris Agreement requirements. The indexes are aligned with a 1.5°C temperature-rise scenario and incorporate the recommendations of the Task Force on Climate-related Financial Disclosures (TCFD) as well as the minimum requirements for the EU Paris Aligned Benchmark. The index is rebalanced semi-annually.

Fund Benefits

  • Designed for investors looking for growth solutions
  • Designed for investors looking to align their climate values with their investments 
  • Benefits from local currency appreciation
  • Professionally managed by BMO Global Asset Management

Risk Rating

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Price & Performance

Performance Details

Daily Prices

Daily prices table has 3 columns. Table columns are Unit Price as of Aug 15, 2022, 1 Day Change, 1 Day % Change
Unit Price as of
(Aug 15, 2022)
1 Day Change 1 Day % Change
Market Price $ 27.91 - -
Price (NAV) $ 28.6934 $ 0.3359 1.18%

Performance

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Tax & Distributions

Distribution History

Download Distribution History (Excel)
Table for distribution history. For period ending
Distribution Period

Future distribution dates may change without any prior notice.

Footnote
Ex-Dividend Date Record Date Pay Date Cash Distribution Per Unit Reinvested Distribution Per Unit

Distributions by the BMO ETF that are not paid in cash should be accounted for by investors for tax purposes by adding the distribution amount to the adjusted cost base of the units held.

Footnote
Total Distribution Per Unit
Mar, 2022 Mar 29, 2022 Mar 30, 2022 Apr 04, 2022 0.110000 0.000000 0.110000
Jun, 2022 Jun 28, 2022 Jun 29, 2022 Jul 05, 2022 0.130000 0.000000 0.130000
Sep, 2022 Sep 28, 2022 Sep 29, 2022 Oct 05, 2022 - - -
Dec, 2022 Dec 28, 2022 Dec 29, 2022 Jan 03, 2023 - - -
Download Distribution Tax (Excel)
ETF distribution tax table. Showing for year
Distribution Period Eligible Dividends Non Eligible Dividends Other Income Capital Gains Return of Capital Foreign Income Foreign Tax Paid Total Distribution per Unit for Tax Purpose

The exact tax treatment of the distributions for a calendar year is calculated after the BMO ETF's tax year-end. As a result investors will receive an official tax statement from their broker detailing the type of income they have to report for tax purposes for the entire year and not for each distribution.

Footnote
- - - - - - - - -

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Holdings & Allocations

Daily Holdings

As of Aug 15, 2022

Stock

99.81%

Cash and Cash Equivalents

0.19%

Number of Holdings

627

Total Net Assets

$ 3,041,525.00


Download Holdings (Excel)
No column selected.
Daily holdings table has 5 columns. Table columns are Weight (%), Name, ISIN, Bloomberg Ticker, Base Market Value
Weight (%) Name ISIN Bloomberg Ticker Number of Shares Currency Base Market Value Sector Asset Class
4.93% APPLE INC US0378331005 AAPL 671 USD 149,987 Information Technology Stock
3.55% MICROSOFT CORP US5949181045 MSFT 285 USD 107,949 Information Technology Stock
2.04% AMAZON.COM INC US0231351067 AMZN 335 USD 61,906 Consumer Discretionary Stock
1.50% TESLA INC US88160R1014 TSLA 38 USD 45,512 Consumer Discretionary Stock
1.43% ALPHABET INC US02079K1079 GOOG 275 USD 43,614 Communication Services Stock
0.94% SCHNEIDER ELECTRIC SE FR0000121972 SU 160 EUR 28,636 Industrials Stock
0.90% UNITEDHEALTH GROUP INC US91324P1021 UNH 39 USD 27,415 Health Care Stock
0.83% ALPHABET INC US02079K3059 GOOGL 160 USD 25,210 Communication Services Stock
0.82% NVIDIA CORP US67066G1040 NVDA 102 USD 25,055 Information Technology Stock
0.79% FANUC CORP JP3802400006 6954 100 JPY 24,022 Industrials Stock
0.74% JPMORGAN CHASE & CO US46625H1005 JPM 143 USD 22,602 Financials Stock
0.74% JOHNSON & JOHNSON US4781601046 JNJ 105 USD 22,508 Health Care Stock
0.64% META PLATFORMS INC US30303M1027 META 84 USD 19,611 Communication Services Stock
0.58% VISA INC US92826C8394 V 63 USD 17,597 Information Technology Stock
0.54% ABB LTD CH0012221716 ABBN 413 CHF 16,320 Industrials Stock
0.51% ELI LILLY & CO US5324571083 LLY 38 USD 15,397 Health Care Stock
0.50% ANALOG DEVICES INC US0326541051 ADI 66 USD 15,324 Information Technology Stock
0.49% HOME DEPOT INC/THE US4370761029 HD 37 USD 15,024 Consumer Discretionary Stock
0.49% MASTERCARD INC US57636Q1040 MA 32 USD 14,866 Information Technology Stock
0.48% MERCK & CO INC US58933Y1055 MRK 126 USD 14,734 Health Care Stock
0.46% PROCTER & GAMBLE CO/THE US7427181091 PG 73 USD 13,997 Consumer Staples Stock
0.46% BANK OF AMERICA CORP US0605051046 BAC 296 USD 13,849 Financials Stock
0.45% INTERNATIONAL BUSINESS MACHINES CORP US4592001014 IBM 79 USD 13,758 Information Technology Stock
0.44% ROYAL BANK OF CANADA CA7800871021 RY 105 CAD 13,487 Financials Stock
0.44% ORACLE CORP US68389X1054 ORCL 130 USD 13,273 Information Technology Stock
0.43% LOBLAW COS LTD CA5394811015 L 109 CAD 13,103 Consumer Staples Stock
0.42% HONEYWELL INTERNATIONAL INC US4385161066 HON 49 USD 12,791 Industrials Stock
0.42% PFIZER INC US7170811035 PFE 197 USD 12,649 Health Care Stock
0.41% THERMO FISHER SCIENTIFIC INC US8835561023 TMO 16 USD 12,483 Health Care Stock
0.40% COCA-COLA CO/THE US1912161007 KO 146 USD 12,154 Consumer Staples Stock
0.38% ACCENTURE PLC IE00B4BNMY34 ACN 28 USD 11,576 Information Technology Stock
0.37% NOVARTIS AG CH0012005267 NOVN 103 CHF 11,339 Health Care Stock
0.37% ROCHE HOLDING AG CH0012032048 ROG 26 CHF 11,290 Health Care Stock
0.37% SONY GROUP CORP JP3435000009 6758 100 JPY 11,246 Consumer Discretionary Stock
0.36% CISCO SYSTEMS INC US17275R1023 CSCO 183 USD 11,004 Information Technology Stock
0.36% MCDONALD'S CORP US5801351017 MCD 32 USD 10,963 Consumer Discretionary Stock
0.36% DASSAULT SYSTEMES SE FR0014003TT8 DSY 190 EUR 10,845 Information Technology Stock
0.35% WALT DISNEY CO/THE US2546871060 DIS 66 USD 10,585 Communication Services Stock
0.34% ADOBE INC US00724F1012 ADBE 18 USD 10,478 Information Technology Stock
0.34% EDISON INTERNATIONAL US2810201077 EIX 113 USD 10,413 Utilities Stock
0.33% S&P GLOBAL INC US78409V1044 SPGI 20 USD 10,095 Financials Stock
0.33% PEPSICO INC US7134481081 PEP 43 USD 9,950 Consumer Staples Stock
0.33% TENCENT HOLDINGS LTD KYG875721634 700 200 HKD 9,930 Communication Services Stock
0.32% ABBVIE INC US00287Y1091 ABBV 53 USD 9,733 Health Care Stock
0.31% PROLOGIS INC US74340W1036 PLD 52 USD 9,287 Real Estate Stock
0.30% NOVOZYMES A/S DK0060336014 NZYMB 113 DKK 9,244 Materials Stock
0.30% NOVO NORDISK A/S DK0060534915 NOVOB 67 DKK 9,198 Health Care Stock
0.30% CANADIAN IMPERIAL BANK OF COMMERCE CA1360691010 CM 135 CAD 9,077 Financials Stock
0.30% TERNA RETE ELETTRICA NAZIONALE SPA IT0003242622 TRN 932 EUR 9,005 Utilities Stock
0.30% INTEL CORP US4581401001 INTC 192 USD 9,005 Information Technology Stock
0.29% VESTAS WIND SYSTEMS A/S DK0061539921 VWS 262 DKK 8,861 - Stock
0.29% ASML HOLDING NV NL0010273215 ASML 12 EUR 8,859 Information Technology Stock
0.29% BRISTOL-MYERS SQUIBB CO US1101221083 BMY 92 USD 8,850 Health Care Stock
0.29% NESTLE SA CH0038863350 NESN 56 CHF 8,840 Consumer Staples Stock
0.29% ILLINOIS TOOL WORKS INC US4523081093 ITW 32 USD 8,838 Industrials Stock
0.29% ASTRAZENECA PLC GB0009895292 AZN 51 GBP 8,697 Health Care Stock
0.28% BROADCOM INC US11135F1012 AVGO 12 USD 8,657 Information Technology Stock
0.28% DANAHER CORP US2358511028 DHR 22 USD 8,585 Health Care Stock
0.28% SERVICENOW INC US81762P1021 NOW 13 USD 8,458 Information Technology Stock
0.28% QUALCOMM INC US7475251036 QCOM 43 USD 8,443 Information Technology Stock
0.28% 3I GROUP PLC GB00B1YW4409 III 431 GBP 8,421 Financials Stock
0.27% LVMH MOET HENNESSY LOUIS VUITTON SE FR0000121014 MC 9 EUR 8,301 Consumer Discretionary Stock
0.27% PAYPAL HOLDINGS INC US70450Y1038 PYPL 63 USD 8,254 Information Technology Stock
0.27% MEDTRONIC PLC IE00BTN1Y115 MDT 67 USD 8,232 Health Care Stock
0.27% TEXAS INSTRUMENTS INC US8825081040 TXN 34 USD 8,136 Information Technology Stock
0.27% COMCAST CORP US20030N1019 CMCSA 154 USD 8,064 Communication Services Stock
0.26% NETFLIX INC US64110L1061 NFLX 25 USD 8,038 Communication Services Stock
0.26% SHERWIN-WILLIAMS CO/THE US8243481061 SHW 24 USD 7,971 Materials Stock
0.26% BERKSHIRE HATHAWAY INC US0846707026 BRK/B 20 USD 7,817 Financials Stock
0.26% HYDRO ONE LTD CA4488112083 H 218 CAD 7,783 Utilities Stock
0.25% GENERAL ELECTRIC CO US3696043013 GE 75 USD 7,726 Industrials Stock
0.25% OMRON CORP JP3197800000 6645 100 JPY 7,646 Information Technology Stock
0.25% MOTOROLA SOLUTIONS INC US6200763075 MSI 23 USD 7,581 Information Technology Stock
0.25% INTUIT INC US4612021034 INTU 12 USD 7,577 Information Technology Stock
0.25% TORONTO-DOMINION BANK/THE CA8911605092 TD 86 CAD 7,493 Financials Stock
0.25% GETLINK SE FR0010533075 GET 291 EUR 7,490 Industrials Stock
0.25% ALIBABA GROUP HOLDING LTD KYG017191142 9988 492 HKD 7,480 Consumer Discretionary Stock
0.24% KYOCERA CORP JP3249600002 6971 100 JPY 7,431 Information Technology Stock
0.24% SALESFORCE INC US79466L3024 CRM 30 USD 7,398 Information Technology Stock
0.24% EQUINIX INC US29444U7000 EQIX 8 USD 7,380 Real Estate Stock
0.24% INTUITIVE SURGICAL INC US46120E6023 ISRG 24 USD 7,380 Health Care Stock
0.24% UNION PACIFIC CORP US9078181081 UNP 24 USD 7,377 Industrials Stock
0.24% IQVIA HOLDINGS INC US46266C1053 IQV 23 USD 7,370 Health Care Stock
0.24% STARBUCKS CORP US8552441094 SBUX 64 USD 7,365 Consumer Discretionary Stock
0.24% BANK OF MONTREAL CA0636711016 BMO 55 CAD 7,335 Financials Stock
0.24% CDW CORP/DE US12514G1085 CDW 31 USD 7,269 Information Technology Stock
0.24% CIE FINANCIERE RICHEMONT SA CH0210483332 CFR 46 CHF 7,239 Consumer Discretionary Stock
0.23% COMMONWEALTH BANK OF AUSTRALIA AU000000CBA7 CBA 78 AUD 7,106 Financials Stock
0.23% ECOLAB INC US2788651006 ECL 31 USD 7,064 Materials Stock
0.23% AMERICAN EXPRESS CO US0258161092 AXP 33 USD 7,045 Financials Stock
0.23% ANTHEM INC US0367521038 ELV 11 USD 7,002 Health Care Stock
0.23% TARGET CORP US87612E1064 TGT 31 USD 6,937 Consumer Discretionary Stock
0.23% HEWLETT PACKARD ENTERPRISE CO US42824C1099 HPE 360 USD 6,904 Information Technology Stock
0.23% BECTON DICKINSON AND CO US0758871091 BDX 20 USD 6,887 Health Care Stock
0.23% ELIA GROUP SA/NV BE0003822393 ELI 34 EUR 6,863 Utilities Stock
0.23% NORTHLAND POWER INC CA6665111002 NPI 150 CAD 6,863 Utilities Stock
0.23% EAST JAPAN RAILWAY CO JP3783600004 9020 100 JPY 6,843 Industrials Stock
0.22% RED ELECTRICA CORP SA ES0173093024 RED 269 EUR 6,834 Utilities Stock
0.22% BLACKROCK INC US09247X1019 BLK 7 USD 6,828 Financials Stock
0.22% XYLEM INC/NY US98419M1009 XYL 51 USD 6,813 Industrials Stock
0.22% PPG INDUSTRIES INC US6935061076 PPG 38 USD 6,689 Materials Stock
0.22% CBRE GROUP INC US12504L1098 CBRE 59 USD 6,677 Real Estate Stock
0.22% TJX COS INC/THE US8725401090 TJX 79 USD 6,665 Consumer Discretionary Stock
0.22% CROWN CASTLE INC US22822V1017 CCI 28 USD 6,654 Real Estate Stock
0.21% PRUDENTIAL FINANCIAL INC US7443201022 PRU 48 USD 6,494 Financials Stock
0.21% EATON CORP PLC IE00B8KQN827 ETN 33 USD 6,492 Industrials Stock
0.21% LOWE'S COS INC US5486611073 LOW 24 USD 6,444 Consumer Discretionary Stock
0.21% HUMANA INC US4448591028 HUM 10 USD 6,435 Health Care Stock
0.21% PUBLIC STORAGE US74460D1090 PSA 14 USD 6,421 Real Estate Stock
0.21% SKANSKA AB SE0000113250 SKAB 300 SEK 6,413 Industrials Stock
0.21% CSL LTD AU000000CSL8 CSL 24 AUD 6,394 Health Care Stock
0.21% ABBOTT LABORATORIES US0028241000 ABT 44 USD 6,355 Health Care Stock
0.21% PACCAR INC US6937181088 PCAR 52 USD 6,325 Industrials Stock
0.21% FORD MOTOR CO US3453708600 F 300 USD 6,319 Consumer Discretionary Stock
0.21% BLACKSTONE GROUP INC/THE US09260D1072 BX 45 USD 6,312 Financials Stock
0.21% PENTAIR PLC IE00BLS09M33 PNR 96 USD 6,289 Industrials Stock
0.20% SWISSCOM AG CH0008742519 SCMN 9 CHF 6,208 Communication Services Stock
0.20% TOYOTA MOTOR CORP JP3633400001 7203 300 JPY 6,203 Consumer Discretionary Stock
0.20% AVALONBAY COMMUNITIES INC US0534841012 AVB 22 USD 6,201 Real Estate Stock
0.20% AMETEK INC US0311001004 AME 37 USD 6,187 Industrials Stock
0.20% AMGEN INC US0311621009 AMGN 19 USD 6,157 Health Care Stock
0.20% FERGUSON PLC JE00BJVNSS43 FERG 38 GBP 6,138 Industrials Stock
0.20% ESTEE LAUDER COS INC/THE US5184391044 EL 17 USD 6,064 Consumer Staples Stock
0.20% MORGAN STANLEY US6174464486 MS 51 USD 6,057 Financials Stock
0.20% KINGSPAN GROUP PLC IE0004927939 KSP 71 EUR 6,035 Industrials Stock
0.20% AUTOMATIC DATA PROCESSING INC US0530151036 ADP 18 USD 6,034 Information Technology Stock
0.20% WW GRAINGER INC US3848021040 GWW 8 USD 6,018 Industrials Stock
0.20% CME GROUP INC US12572Q1058 CME 23 USD 6,005 Financials Stock
0.20% HOWMET AEROSPACE INC US4432011082 HWM 120 USD 5,997 Industrials Stock
0.20% COLGATE-PALMOLIVE CO US1941621039 CL 57 USD 5,977 Consumer Staples Stock
0.19% PERNOD RICARD SA FR0000120693 RI 23 EUR 5,917 Consumer Staples Stock
0.19% CHARLES SCHWAB CORP/THE US8085131055 SCHW 60 USD 5,875 Financials Stock
0.19% NIKE INC US6541061031 NKE 39 USD 5,855 Consumer Discretionary Stock
0.19% UNITED PARCEL SERVICE INC US9113121068 UPS 22 USD 5,846 Industrials Stock
0.19% VINCI SA FR0000125486 DG 47 EUR 5,836 Industrials Stock
0.19% ENPHASE ENERGY INC US29355A1079 ENPH 15 USD 5,830 Information Technology Stock
0.19% METLIFE INC US59156R1086 MET 67 USD 5,823 Financials Stock
0.19% VERIZON COMMUNICATIONS INC US92343V1044 VZ 99 USD 5,821 Communication Services Stock
0.19% AMERICAN INTERNATIONAL GROUP INC US0268747849 AIG 79 USD 5,787 Financials Stock
0.19% FUJI ELECTRIC CO LTD JP3820000002 6504 100 JPY 5,787 Industrials Stock
0.19% AUTODESK INC US0527691069 ADSK 19 USD 5,739 Information Technology Stock
0.19% O'REILLY AUTOMOTIVE INC US67103H1077 ORLY 6 USD 5,715 Consumer Discretionary Stock
0.19% NVR INC US62944T1051 NVR 1 USD 5,688 Consumer Discretionary Stock
0.19% EDWARDS LIFESCIENCES CORP US28176E1082 EW 42 USD 5,678 Health Care Stock
0.18% MERCADOLIBRE INC US58733R1023 MELI 4 USD 5,589 Consumer Discretionary Stock
0.18% GEBERIT AG CH0030170408 GEBN 8 CHF 5,581 Industrials Stock
0.18% KEYENCE CORP JP3236200006 6861 10 JPY 5,572 Information Technology Stock
0.18% TRAVELERS COS INC/THE US89417E1091 TRV 25 USD 5,555 Financials Stock
0.18% KURITA WATER INDUSTRIES LTD JP3270000007 6370 100 JPY 5,533 Industrials Stock
0.18% BOOKING HOLDINGS INC US09857L1089 BKNG 2 USD 5,498 Consumer Discretionary Stock
0.18% PERKINELMER INC US7140461093 PKI 27 USD 5,494 Health Care Stock
0.18% ADVANCED MICRO DEVICES INC US0079031078 AMD 42 USD 5,475 Information Technology Stock
0.18% AFLAC INC US0010551028 AFL 66 USD 5,458 Financials Stock
0.18% KESKO OYJ FI0009000202 KESKOB 181 EUR 5,413 Consumer Staples Stock
0.18% ZOETIS INC US98978V1035 ZTS 24 USD 5,404 Health Care Stock
0.18% PNC FINANCIAL SERVICES GROUP INC/THE US6934751057 PNC 24 USD 5,388 Financials Stock
0.18% ESSEX PROPERTY TRUST INC US2971781057 ESS 14 USD 5,366 Real Estate Stock
0.18% CGI INC CA12532H1047 GIB/A 48 CAD 5,346 Information Technology Stock
0.18% CHUBB LTD CH0044328745 CB 21 USD 5,332 Financials Stock
0.18% ZURICH INSURANCE GROUP AG CH0011075394 ZURN 9 CHF 5,330 Financials Stock
0.18% MUENCHENER RUECKVERSICHERUNGS-GESELLSCHAFT AG IN MUENCHEN DE0008430026 MUV2 17 EUR 5,326 Financials Stock
0.17% TE CONNECTIVITY LTD CH0102993182 TEL 30 USD 5,312 Information Technology Stock
0.17% FRANCO-NEVADA CORP CA3518581051 FNV 31 CAD 5,295 Materials Stock
0.17% BANK OF NOVA SCOTIA/THE CA0641491075 BNS 65 CAD 5,273 Financials Stock
0.17% CHINA CONCH VENTURE HOLDINGS LTD KYG2116J1085 586 1,913 HKD 5,233 Industrials Stock
0.17% CORNING INC US2193501051 GLW 109 USD 5,231 Information Technology Stock
0.17% UBER TECHNOLOGIES INC US90353T1007 UBER 124 USD 5,200 Industrials Stock
0.17% TELEDYNE TECHNOLOGIES INC US8793601050 TDY 10 USD 5,188 Information Technology Stock
0.17% TRIMBLE INC US8962391004 TRMB 56 USD 5,181 Information Technology Stock
0.17% ALLIANZ SE DE0008404005 ALV 22 EUR 5,162 Financials Stock
0.17% SAFRAN SA FR0000073272 SAF 35 EUR 5,159 Industrials Stock
0.17% MARSH & MCLENNAN COS INC US5717481023 MMC 23 USD 5,140 Financials Stock
0.17% LULULEMON ATHLETICA INC US5500211090 LULU 12 USD 5,116 Consumer Discretionary Stock
0.17% SIMON PROPERTY GROUP INC US8288061091 SPG 35 USD 5,116 Real Estate Stock
0.17% TRANSURBAN GROUP AU000000TCL6 TCL 387 AUD 5,097 Industrials Stock
0.17% AMERICAN TOWER CORP US03027X1000 AMT 14 USD 5,087 Real Estate Stock
0.16% MOODY'S CORP US6153691059 MCO 12 USD 4,992 Financials Stock
0.16% REGENERON PHARMACEUTICALS INC US75886F1075 REGN 6 USD 4,982 Health Care Stock
0.16% ILLUMINA INC US4523271090 ILMN 17 USD 4,972 Health Care Stock
0.16% CHARTER COMMUNICATIONS INC US16119P1084 CHTR 8 USD 4,966 Communication Services Stock
0.16% KLA CORP US4824801009 KLAC 10 USD 4,960 Information Technology Stock
0.16% WELLTOWER INC US95040Q1040 WELL 47 USD 4,955 Real Estate Stock
0.16% BOSTON SCIENTIFIC CORP US1011371077 BSX 91 USD 4,950 Health Care Stock
0.16% STRYKER CORP US8636671013 SYK 17 USD 4,927 Health Care Stock
0.16% RECRUIT HOLDINGS CO LTD JP3970300004 6098 100 JPY 4,858 Industrials Stock
0.16% AGILENT TECHNOLOGIES INC US00846U1016 A 28 USD 4,839 Health Care Stock
0.16% EQUITABLE HOLDINGS INC US29452E1010 EQH 122 USD 4,831 Financials Stock
0.16% IBERDROLA SA ES0144580Y14 IBE 338 EUR 4,823 Utilities Stock
0.16% DIGITAL REALTY TRUST INC US2538681030 DLR 28 USD 4,810 Real Estate Stock
0.16% INTERCONTINENTAL EXCHANGE INC US45866F1049 ICE 34 USD 4,809 Financials Stock
0.16% BARCLAYS PLC GB0031348658 BARC 1,780 GBP 4,802 Financials Stock
0.16% CITRIX SYSTEMS INC US1773761002 CTXS 36 USD 4,795 Information Technology Stock
0.16% L'OREAL SA FR0000120321 OR 10 EUR 4,784 Consumer Staples Stock
0.16% YASKAWA ELECTRIC CORP JP3932000007 6506 100 JPY 4,779 Industrials Stock
0.16% TRUIST FINANCIAL CORP US89832Q1094 TFC 72 USD 4,778 Financials Stock
0.16% NIBE INDUSTRIER AB SE0015988019 NIBEB 380 SEK 4,773 Industrials Stock
0.16% ROSS STORES INC US7782961038 ROST 41 USD 4,771 Consumer Discretionary Stock
0.16% VMWARE INC US9285634021 VMW 30 USD 4,740 Information Technology Stock
0.15% GIVAUDAN SA CH0010645932 GIVN 1 CHF 4,707 Materials Stock
0.15% ROCKWOOL A/S DK0010219153 ROCKB 14 DKK 4,653 Industrials Stock
0.15% DISCOVER FINANCIAL SERVICES US2547091080 DFS 33 USD 4,635 Financials Stock
0.15% SHOPIFY INC CA82509L1076 SHOP 90 CAD 4,630 Information Technology Stock
0.15% VERBUND AG AT0000746409 VER 32 EUR 4,623 Utilities Stock
0.15% GLOBAL PAYMENTS INC US37940X1028 GPN 26 USD 4,571 Information Technology Stock
0.15% LLOYDS BANKING GROUP PLC GB0008706128 LLOY 6,340 GBP 4,549 Financials Stock
0.15% CAPITAL ONE FINANCIAL CORP US14040H1059 COF 31 USD 4,548 Financials Stock
0.15% SAP SE DE0007164600 SAP 37 EUR 4,526 Information Technology Stock
0.15% YOKOGAWA ELECTRIC CORP JP3955000009 6841 200 JPY 4,512 Information Technology Stock
0.15% TERUMO CORP JP3546800008 4543 100 JPY 4,487 Health Care Stock
0.15% ALSTOM SA FR0010220475 ALO 139 EUR 4,454 Industrials Stock
0.15% T ROWE PRICE GROUP INC US74144T1088 TROW 26 USD 4,433 Financials Stock
0.15% KERING SA FR0000121485 KER 6 EUR 4,431 Consumer Discretionary Stock
0.15% ROLLS-ROYCE HOLDINGS PLC GB00B63H8491 RR/ 3,300 GBP 4,417 Industrials Stock
0.15% EXTRA SPACE STORAGE INC US30225T1025 EXR 16 USD 4,415 Real Estate Stock
0.14% SANOFI FR0000120578 SAN 39 EUR 4,395 Health Care Stock
0.14% ACCIONA SA ES0125220311 ANA 16 EUR 4,287 Utilities Stock
0.14% SWISS LIFE HOLDING AG CH0014852781 SLHN 6 CHF 4,285 Financials Stock
0.14% EIFFAGE SA FR0000130452 FGR 35 EUR 4,282 Industrials Stock
0.14% GROWTHPOINT PROPERTIES LTD ZAE000179420 GRT 3,980 ZAR 4,280 Real Estate Stock
0.14% SWISS RE AG CH0126881561 SREN 41 CHF 4,265 Financials Stock
0.14% WILLIS TOWERS WATSON PLC IE00BDB6Q211 WTW 15 USD 4,255 Financials Stock
0.14% DEERE & CO US2441991054 DE 9 USD 4,252 Industrials Stock
0.14% FORTIVE CORP US34959J1088 FTV 48 USD 4,243 Industrials Stock
0.14% SEIKO EPSON CORP JP3414750004 6724 200 JPY 4,242 Information Technology Stock
0.14% SVB FINANCIAL GROUP US78486Q1013 SIVB 7 USD 4,205 Financials Stock
0.14% CHURCH & DWIGHT CO INC US1713401024 CHD 37 USD 4,189 Consumer Staples Stock
0.14% SOLAREDGE TECHNOLOGIES INC US83417M1045 SEDG 10 USD 4,184 Information Technology Stock
0.14% SUMITOMO METAL MINING CO LTD JP3402600005 5713 100 JPY 4,175 Materials Stock
0.14% ACTIVISION BLIZZARD INC US00507V1098 ATVI 40 USD 4,168 Communication Services Stock
0.14% ALLEGION PLC IE00BFRT3W74 ALLE 30 USD 4,151 Industrials Stock
0.13% NASPERS LTD ZAE000015889 NPN 21 ZAR 4,101 Consumer Discretionary Stock
0.13% POWER CORP OF CANADA CA7392391016 POW 116 CAD 4,098 Financials Stock
0.13% DAIICHI SANKYO CO LTD JP3475350009 4568 100 JPY 4,075 Health Care Stock
0.13% WESFARMERS LTD AU000000WES1 WES 94 AUD 4,069 Consumer Discretionary Stock
0.13% US BANCORP US9029733048 USB 64 USD 4,054 Financials Stock
0.13% EPAM SYSTEMS INC US29414B1044 EPAM 7 USD 4,052 Information Technology Stock
0.13% KION GROUP AG DE000KGX8881 KGX 70 EUR 4,037 Industrials Stock
0.13% KKR & CO INC US48251W1045 KKR 54 USD 4,009 Financials Stock
0.13% LAM RESEARCH CORP US5128071082 LRCX 6 USD 4,006 Information Technology Stock
0.13% BLACKBERRY LTD CA09228F1036 BB 450 CAD 3,987 Information Technology Stock
0.13% DOLLARAMA INC CA25675T1075 DOL 49 CAD 3,977 Consumer Discretionary Stock
0.13% SYNCHRONY FINANCIAL US87165B1035 SYF 86 USD 3,968 Financials Stock
0.13% ASTELLAS PHARMA INC JP3942400007 4503 200 JPY 3,966 Health Care Stock
0.13% CAPITALAND INTEGRATED COMMERCIAL TRUST SG1M51904654 CICT 2,000 SGD 3,959 Real Estate Stock
0.13% ALCON INC CH0432492467 ALC 44 CHF 3,944 Health Care Stock
0.13% ARTHUR J GALLAGHER & CO US3635761097 AJG 16 USD 3,927 Financials Stock
0.13% ZIMMER BIOMET HOLDINGS INC US98956P1021 ZBH 26 USD 3,917 Health Care Stock
0.13% FASTENAL CO US3119001044 FAST 54 USD 3,911 Industrials Stock
0.13% TWITTER INC US90184L1026 TWTR 68 USD 3,906 Communication Services Stock
0.13% SEGRO PLC GB00B5ZN1N88 SGRO 231 GBP 3,902 Real Estate Stock
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0.05% WARNER BROS DISCOVERY INC US9344231041 WBD 94 USD 1,592 - Stock
0.05% MARKEL CORP US5705351048 MKL 1 USD 1,588 Financials Stock
0.05% ROYALTY PHARMA PLC GB00BMVP7Y09 RPRX 28 USD 1,588 Health Care Stock
0.05% STANLEY BLACK & DECKER INC US8545021011 SWK 12 USD 1,573 Industrials Stock
0.05% RESTAURANT BRANDS INTERNATIONAL INC CA76131D1033 QSR 20 CAD 1,562 Consumer Discretionary Stock
0.05% MR PRICE GROUP LTD ZAE000200457 MRP 100 ZAR 1,558 Consumer Discretionary Stock
0.05% DEUTSCHE BOERSE AG DE0005810055 DB1 7 EUR 1,551 Financials Stock
0.05% WHARF HOLDINGS LTD/THE HK0004000045 4 332 HKD 1,535 Real Estate Stock
0.05% HARGREAVES LANSDOWN PLC GB00B1VZ0M25 HL/ 100 GBP 1,535 Financials Stock
0.05% DR HORTON INC US23331A1097 DHI 15 USD 1,526 Consumer Discretionary Stock
0.05% CAPITEC BANK HOLDINGS LTD ZAE000035861 CPI 9 ZAR 1,521 Financials Stock
0.05% POOL CORP US73278L1052 POOL 3 USD 1,506 Consumer Discretionary Stock
0.05% BALOISE HOLDING AG CH0012410517 BALN 7 CHF 1,492 Financials Stock
0.05% SPLUNK INC US8486371045 SPLK 10 USD 1,482 Information Technology Stock
0.05% OCADO GROUP PLC GB00B3MBS747 OCDO 100 GBP 1,476 Consumer Staples Stock
0.05% FLEETCOR TECHNOLOGIES INC US3390411052 FLT 5 USD 1,468 Information Technology Stock
0.05% AIRBUS SE NL0000235190 AIR 10 EUR 1,435 Industrials Stock
0.05% VIATRIS INC US92556V1061 VTRS 100 USD 1,434 Health Care Stock
0.05% BIO-RAD LABORATORIES INC US0905722072 BIO 2 USD 1,411 Health Care Stock
0.05% SKANDINAVISKA ENSKILDA BANKEN AB SE0000148884 SEBA 101 SEK 1,402 Financials Stock
0.05% STOCKLAND AU000000SGP0 SGP 400 AUD 1,401 Real Estate Stock
0.05% TOPSPORTS INTERNATIONAL HOLDINGS LTD KYG8924B1041 6110 1,300 HKD 1,397 Consumer Discretionary Stock
0.05% FOX CORP US35137L2043 FOX 32 USD 1,386 Communication Services Stock
0.05% STERIS PLC IE00BFY8C754 STE 5 USD 1,381 Health Care Stock
0.05% UOL GROUP LTD SG1S83002349 UOL 200 SGD 1,377 Real Estate Stock
0.04% LABORATORY CORP OF AMERICA HOLDINGS US50540R4092 LH 4 USD 1,343 Health Care Stock
0.04% HENNES & MAURITZ AB SE0000106270 HMB 81 SEK 1,343 Consumer Discretionary Stock
0.04% ANHEUSER-BUSCH INBEV SA/NV BE0974293251 ABI 19 EUR 1,335 Consumer Staples Stock
0.04% RENESAS ELECTRONICS CORP JP3164720009 6723 100 JPY 1,315 Information Technology Stock
0.04% TELEFLEX INC US8793691069 TFX 4 USD 1,315 Health Care Stock
0.04% OMNICOM GROUP INC US6819191064 OMC 14 USD 1,305 Communication Services Stock
0.04% ESR GROUP LTD KYG319891092 1821 400 HKD 1,304 Real Estate Stock
0.04% LEIDOS HOLDINGS INC US5253271028 LDOS 10 USD 1,303 Information Technology Stock
0.04% HANGZHOU TIGERMED CONSULTING CO LTD CNE1000040M1 3347 100 HKD 1,292 Health Care Stock
0.04% COOPER COS INC/THE US2166484020 COO 3 USD 1,291 Health Care Stock
0.04% MEDIOBANCA BANCA DI CREDITO FINANZIARIO SPA IT0000062957 MB 112 EUR 1,288 Financials Stock
0.04% WEYERHAEUSER CO US9621661043 WY 27 USD 1,288 Real Estate Stock
0.04% WPP PLC JE00B8KF9B49 WPP 100 GBP 1,287 Communication Services Stock
0.04% PALANTIR TECHNOLOGIES INC US69608A1088 PLTR 100 USD 1,279 Information Technology Stock
0.04% CONSTELLATION BRANDS INC US21036P1084 STZ 4 USD 1,272 Consumer Staples Stock
0.04% BIOMARIN PHARMACEUTICAL INC US09061G1013 BMRN 10 USD 1,251 Health Care Stock
0.04% VIVENDI SE FR0000127771 VIV 100 EUR 1,230 Communication Services Stock
0.04% AMPLIFON SPA IT0004056880 AMP 30 EUR 1,218 Health Care Stock
0.04% JD SPORTS FASHION PLC GB00BM8Q5M07 JD/ 600 GBP 1,214 Consumer Discretionary Stock
0.04% XINJIANG GOLDWIND SCIENCE & TECHNOLOGY CO LTD CNE100000PP1 2208 496 HKD 1,203 Industrials Stock
0.04% GOLD FIELDS LTD ZAE000018123 GFI 100 ZAR 1,198 Materials Stock
0.04% FIRST QUANTUM MINERALS LTD CA3359341052 FM 50 CAD 1,196 Materials Stock
0.04% YADEA GROUP HOLDINGS LTD KYG9830F1063 1585 439 HKD 1,184 Consumer Discretionary Stock
0.04% KINGFISHER PLC GB0033195214 KGF 300 GBP 1,174 Consumer Discretionary Stock
0.04% EPIROC AB SE0015658117 EPIB 59 SEK 1,171 Industrials Stock
0.04% SARTORIUS AG PFD DE0007165631 - 2 EUR 1,171 Health Care Stock
0.04% ZTE CORP CNE1000004Y2 763 433 HKD 1,161 Information Technology Stock
0.04% PAN AMERICAN SILVER CORP CA6979001089 PAAS 50 CAD 1,146 Materials Stock
0.04% HASBRO INC US4180561072 HAS 11 USD 1,145 Consumer Discretionary Stock
0.04% EXACT SCIENCES CORP US30063P1057 EXAS 20 USD 1,142 Health Care Stock
0.04% SMITH & NEPHEW PLC GB0009223206 SN/ 68 GBP 1,137 Health Care Stock
0.04% ROPER TECHNOLOGIES INC US7766961061 ROP 2 USD 1,134 Information Technology Stock
0.04% CINTAS CORP US1729081059 CTAS 2 USD 1,133 Industrials Stock
0.04% FIBRA UNO ADMINISTRACION SA DE CV MXCFFU000001 FUNO11 810 MXN 1,120 Real Estate Stock
0.04% AMC ENTERTAINMENT HOLDINGS INC US00165C1045 AMC 35 USD 1,094 Communication Services Stock
0.04% MEDIBANK PVT LTD AU000000MPL3 MPL 346 AUD 1,085 Financials Stock
0.03% UCB SA BE0003739530 UCB 11 EUR 1,061 Health Care Stock
0.03% VICI PROPERTIES INC US9256521090 VICI 23 USD 1,055 Real Estate Stock
0.03% JD.COM INC KYG8208B1014 9618 28 HKD 1,047 Consumer Discretionary Stock
0.03% SNAP INC US83304A1060 SNAP 66 USD 1,043 Communication Services Stock
0.03% BURLINGTON STORES INC US1220171060 BURL 5 USD 1,033 Consumer Discretionary Stock
0.03% CANSINO BIOLOGICS INC H CNE100003F01 6185 100 HKD 1,030 - Stock
0.03% VICINITY CENTRES AU000000VCX7 VCX 540 AUD 1,008 Real Estate Stock
0.03% BIO-TECHNE CORP US09073M1045 TECH 2 USD 976 Health Care Stock
0.03% DENTSPLY SIRONA INC US24906P1093 XRAY 20 USD 971 Health Care Stock
0.03% WUXI BIOLOGICS CAYMAN INC KYG970081173 2269 82 HKD 954 Health Care Stock
0.03% GENMAB A/S DK0010272202 GMAB 2 DKK 952 Health Care Stock
0.03% EDP - ENERGIAS DE PORTUGAL SA PTEDP0AM0009 EDP 141 EUR 934 Utilities Stock
0.03% SINGAPORE EXCHANGE LTD SG1J26887955 SGX 100 SGD 928 Financials Stock
0.03% EQT AB SE0012853455 EQT 27 SEK 920 - Stock
0.03% COUNTRY GARDEN SERVICES HOLDINGS CO LTD KYG2453A1085 6098 400 HKD 916 Real Estate Stock
0.03% KINGDEE INTERNATIONAL SOFTWARE GROUP CO LTD KYG525681477 268 325 HKD 912 Information Technology Stock
0.03% ZEBRA TECHNOLOGIES CORP US9892071054 ZBRA 2 USD 902 Information Technology Stock
0.03% INFINEON TECHNOLOGIES AG DE0006231004 IFX 25 EUR 901 Information Technology Stock
0.03% WEST PHARMACEUTICAL SERVICES INC US9553061055 WST 2 USD 880 Health Care Stock
0.03% ZHEJIANG EXPRESSWAY CO LTD CNE1000004S4 576 866 HKD 878 Industrials Stock
0.03% GRUPO TELEVISA SAB MXP4987V1378 TLEVICPO 440 MXN 851 Communication Services Stock
0.03% INTERPUBLIC GROUP OF COS INC/THE US4606901001 IPG 21 USD 828 Communication Services Stock
0.03% SCENTRE GROUP AU000000SCG8 SCG 312 AUD 818 Real Estate Stock
0.03% GPT GROUP/THE AU000000GPT8 GPT 198 AUD 813 Real Estate Stock
0.03% HALEON PLC GB00BMX86B70 HLN 194 GBP 805 Consumer Staples Stock
0.03% CREDIT SUISSE GROUP AG CH0012138530 - 104 CHF 774 Financials Stock
0.03% PRUDENTIAL PLC GB0007099541 PRU 50 GBP 766 Financials Stock
0.02% GFL ENVIRONMENTAL INC CA36168Q1046 GFL 20 CAD 752 Industrials Stock
0.02% ANSYS INC US03662Q1058 ANSS 2 USD 739 Information Technology Stock
0.02% MARKETAXESS HOLDINGS INC US57060D1081 MKTX 2 USD 714 Financials Stock
0.02% RAYMOND JAMES FINANCIAL INC US7547301090 RJF 5 USD 710 Financials Stock
0.02% PEARSON PLC GB0006776081 PSON 50 GBP 686 Communication Services Stock
0.02% CHINA LIFE INSURANCE CO LTD CNE1000002L3 2628 351 HKD 659 Financials Stock
0.02% LYFT INC US55087P1049 LYFT 25 USD 622 Industrials Stock
0.02% INDUSTRIVARDEN AB SE0000107203 INDUC 19 SEK 609 Financials Stock
0.02% FACTSET RESEARCH SYSTEMS INC US3030751057 FDS 1 USD 576 Financials Stock
0.02% BOSIDENG INTERNATIONAL HOLDINGS LTD KYG126521064 3998 708 HKD 536 Consumer Discretionary Stock
0.02% PAYCOM SOFTWARE INC US70432V1026 PAYC 1 USD 515 Information Technology Stock
0.02% SARTORIUS STEDIM BIOTECH FR0013154002 DIM 1 EUR 508 Health Care Stock
0.02% DISH NETWORK CORP US25470M1099 DISH 19 USD 496 Communication Services Stock
0.02% MONGODB INC US60937P1066 MDB 1 USD 485 Information Technology Stock
0.01% WATERS CORP US9418481035 WAT 1 USD 428 Health Care Stock
0.01% BAUSCH HEALTH COS INC CA0717341071 BHC 50 CAD 405 Health Care Stock
0.01% TAYLOR WIMPEY PLC GB0008782301 TW/ 200 GBP 388 Consumer Discretionary Stock
0.01% ERIE INDEMNITY CO US29530P1021 ERIE 1 USD 283 Financials Stock
0.01% CIFI HOLDINGS GROUP CO LTD KYG2140A1076 884 850 HKD 262 Real Estate Stock
0.00% CDL HOSPITALITY TRUSTS SG1T66931158 CDREIT 111 SGD 133 Real Estate Stock
0.19% CASH - - 1 CAD 5,831 - Cash and Cash Equivalents

Holdings Breakdown

Sector Allocation

has a donut chart divided into 11 ranges. Ranges are: 26.56%, Information Technology.15.86%, Financials.13.82%, Industrials.12.28%, Health Care.10.84%, Consumer Discretionary.7.92%, Communication Services.4.36%, Real Estate.3.83%, Consumer Staples.2.37%, Utilities.2.13%, Materials.0.03%, Energy.

Geographic Allocation

has a donut chart divided into 27 ranges. Ranges are: 62.29%, United States.5.44%, Japan.5%, Canada.3.92%, France.3.91%, Switzerland.3.56%, United Kingdom.1.86%, Hong Kong.1.63%, Germany.1.6%, Australia.1.54%, Ireland.1.27%, Sweden.1.23%, Spain.1.07%, Denmark.0.85%, South Africa.0.7%, Netherlands.0.58%, China.0.52%, Italy.0.5%, Belgium.0.48%, Singapore.0.47%, Finland.0.46%, Mexico.0.25%, Norway.0.17%, New Zealand.0.17%, Israel.0.15%, Austria.0.08%, Luxembourg.0.03%, Portugal.

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