Mercato ETF
Più grandiMaggior crescita di AUMRendimenti più elevatiMaggiori ribassiEquityBitcoinEthereumOroReddito fissoImmobiliareMercato totaleMaterie primeAsset allocationInversoA leva finanziariaPiù scambiateI maggiori flussi in entrataMaggiori flussi in uscitaSconto massimo rispetto al NAVPremio più alto rispetto al NAVRendimento più altoDividendoDistribuzioni mensiliMassima diversificazioneGestione attivaSettoreBeta più elevatoBeta più bassoBeta negativoRapporto di spesa più elevatoMassimo storicoMinimo storicoMassimo 52 settimaneMinimo 52 settimaneETF USAETF CanadaETF Regno UnitoETF GermaniaETF GiapponeETF AustraliaCrea altri elenchi nello Screener
Più grandiMaggior crescita di AUMRendimenti più elevatiMaggiori ribassiEquityBitcoinEthereumOroReddito fissoImmobiliareMercato totaleMaterie primeAsset allocationInversoA leva finanziariaPiù scambiateI maggiori flussi in entrataMaggiori flussi in uscitaSconto massimo rispetto al NAVPremio più alto rispetto al NAVRendimento più altoDividendoDistribuzioni mensiliMassima diversificazioneGestione attivaSettoreBeta più elevatoBeta più bassoBeta negativoRapporto di spesa più elevatoMassimo storicoMinimo storicoMassimo 52 settimaneMinimo 52 settimaneETF USAETF CanadaETF Regno UnitoETF GermaniaETF GiapponeETF Australia
ETF portafoglio all-in-one
ETF di asset allocation ordinati per AUM. Questi ETF all-in-one offrono un'esposizione a portafogli di azioni o obbligazioni, con un rischio inferiore grazie all'efficienza dei costi e al regolare ribilanciamento.
Simbolo | AUM | Prezzo | Variazione % | Prezzo * Vol | Volume rel | Rendimento totale NAV 3Y | Indice di spesa | Asset class | Focus |
---|---|---|---|---|---|---|---|---|---|
5,13 B USD | 38,36 CAD | +0,50% | 3,52 M CAD | 0,77 | +46,73% | 0,24% | Asset allocation | Target outcome | |
IINCOME10XIACTIVELY MANAGED ETF | 4,4 B USD | 1.057 ZAC | −0,56% | 13,28 M ZAC | 0,14 | +0,65% | 0,52% | Asset allocation | Target outcome |
2,91 B USD | 50,17 AUD | 0,00% | 10,21 M AUD | 0,42 | +12,62% | 0,18% | Asset allocation | Target outcome | |
2,85 B USD | 1.081 ZAC | −0,09% | 62,85 M ZAC | 0,40 | −2,58% | — | Asset allocation | Target outcome | |
PPIPETFPIP ACTIVELY MANAGED ETF | 2,78 B USD | 1.032 ZAC | +0,19% | 1,13 B ZAC | 3,52 | −0,55% | — | Asset allocation | Target outcome |
2,71 B USD | 1.108 ZAC | −0,18% | 208,3 K ZAC | 0,01 | −0,28% | 0,52% | Asset allocation | Target outcome | |
2,63 B USD | 33,88 CAD | +0,36% | 2,03 M CAD | 1,00 | +37,02% | 0,24% | Asset allocation | Target outcome | |
2,51 B USD | 13,34 CAD | +0,15% | 2,72 M CAD | 0,22 | +47,73% | 0,44% | Asset allocation | Target outcome | |
2,42 B USD | 60,39 USD | +0,58% | 13,73 M USD | 1,40 | +36,61% | 0,15% | Asset allocation | Target outcome | |
2,4 B USD | 31,30 CAD | +0,47% | 2,14 M CAD | 1,03 | +48,89% | 0,20% | Asset allocation | Target outcome | |
2,37 B USD | 32,75 USD | +0,38% | 10,92 M USD | 0,63 | +4,47% | 0,33% | Asset allocation | Target outcome | |
2,37 B USD | 81,63 USD | +0,77% | 24,49 M USD | 3,76 | +44,17% | 0,15% | Asset allocation | Rischio dell'obiettivo | |
1,61 B USD | 1.023.120 KRW | +0,01% | 18,43 B KRW | 2,01 | +0,10% | 0,04% | Asset allocation | Target outcome | |
1,51 B USD | 45,23 USD | +0,32% | 7,6 M USD | 1,86 | +26,31% | 0,15% | Asset allocation | Rischio dell'obiettivo | |
1,49 B USD | 30,620 EUR | −0,37% | 7,17 K EUR | 0,07 | −0,05% | 0,40% | Asset allocation | Target outcome | |
1,48 B USD | 30,72 CAD | +0,29% | 1,64 M CAD | 1,38 | +38,90% | 0,20% | Asset allocation | Target outcome | |
1,32 B USD | 15,45 CAD | +0,13% | 810,07 K CAD | 0,13 | +63,54% | 0,47% | Asset allocation | Target outcome | |
1,25 B USD | 28,25 USD | +0,11% | 728,82 K USD | 0,16 | +18,39% | 0,78% | Asset allocation | Target outcome | |
1,17 B USD | 48,43 USD | +0,65% | 1,14 M USD | 0,29 | +51,79% | 0,20% | Asset allocation | Target outcome | |
808,83 M USD | 8,57 CAD | +0,71% | 1,02 M CAD | 1,11 | +47,23% | 0,87% | Asset allocation | Target outcome | |
804,64 M USD | 19,31 USD | +0,20% | 1,39 M USD | 0,50 | +32,39% | 3,07% | Asset allocation | Target outcome | |
784,87 M USD | 35,760 EUR | +0,49% | 232,58 K EUR | 0,43 | +32,47% | 0,25% | Asset allocation | Rischio dell'obiettivo | |
731,04 M USD | 11,50 CAD | 0,00% | 785,37 K CAD | 0,25 | +2,08% | 0,41% | Asset allocation | Rischio dell'obiettivo | |
705,35 M USD | 301,10 EUR | +0,25% | 377,58 K EUR | 0,93 | +20,96% | 0,70% | Asset allocation | Target outcome | |
685,34 M USD | 21,18 USD | +0,09% | 2 M USD | 0,97 | +27,89% | 0,97% | Asset allocation | Target outcome | |
651,36 M USD | 26,83 USD | +0,18% | 2,73 M USD | 0,55 | +4,63% | 0,38% | Asset allocation | Target outcome | |
623,24 M USD | 38,44 USD | +0,18% | 18,59 M USD | 7,52 | +22,18% | 0,15% | Asset allocation | Rischio dell'obiettivo | |
AAQUAAQU ACTIVELY MANAGED ETF | 621,51 M USD | 1.124 ZAC | +0,99% | 1,83 M ZAC | 0,03 | −0,08% | — | Asset allocation | Target outcome |
587,43 M USD | 31,675 EUR | +0,28% | 285,11 K EUR | 0,93 | +24,63% | 0,25% | Asset allocation | Rischio dell'obiettivo | |
CCOGMANCGM ACTIVELY MANAGED ETF | 582,17 M USD | 1.276 ZAC | −0,23% | 3,4 M ZAC | 0,47 | +1,37% | — | Asset allocation | Target outcome |
561,09 M USD | 11,62 USD | +0,20% | 1,43 M USD | 0,56 | +30,10% | 3,25% | Asset allocation | Target outcome | |
482,79 M USD | 37,30 AUD | +0,24% | 947,08 K AUD | 0,85 | +57,03% | 0,19% | Asset allocation | Target outcome | |
453,46 M USD | 15,88 USD | −0,13% | 2,16 M USD | 2,62 | +24,09% | 0,75% | Asset allocation | Target outcome | |
RRAASMI 3Fourteen REAL Asset Allocation ETF | 433,61 M USD | 25,34 USD | +0,57% | 660,69 K USD | 0,47 | — | 0,85% | Asset allocation | Target outcome |
416,23 M USD | 29,77 CAD | +0,30% | 323,12 K CAD | 0,89 | +27,69% | 0,24% | Asset allocation | Rischio dell'obiettivo | |
415,21 M USD | 25,48 USD | +0,95% | 217,85 K USD | 0,49 | — | 0,24% | Asset allocation | Target outcome | |
407,03 M USD | 88,87 USD | −0,17% | 717,98 K USD | 0,25 | +21,49% | 0,63% | Asset allocation | Target outcome | |
404,3 M USD | 40,85 USD | +0,52% | 284,14 K USD | 0,52 | +41,15% | 0,26% | Asset allocation | Target outcome | |
359,41 M USD | 13.845 KRW | +3,32% | 6,77 B KRW | 0,88 | −8,76% | — | Asset allocation | Target outcome | |
CCOOPTICOG ACTIVELY MANAGED ETF | 333,28 M USD | 1.236 ZAC | +0,41% | 12,36 M ZAC | 2,23 | +0,82% | 0,95% | Asset allocation | Target outcome |
323,29 M USD | 46,78 CAD | +0,58% | 470,09 K CAD | 0,80 | +47,70% | 0,21% | Asset allocation | Target outcome | |
319,8 M USD | 28,26 USD | +0,65% | 267,37 K USD | 0,46 | +40,28% | 1,34% | Asset allocation | Target outcome | |
318,46 M USD | 26,61 USD | −0,67% | 346 USD | 0,00 | +2,33% | 0,40% | Asset allocation | Rischio dell'obiettivo | |
311,3 M USD | 27,59 USD | +0,33% | 28 USD | 0,00 | +3,12% | 0,42% | Asset allocation | Target outcome | |
307,89 M USD | 19,08 USD | +0,34% | 878,35 K USD | 0,37 | +28,50% | 0,39% | Asset allocation | Target outcome | |
292,3 M USD | 22,20 USD | +0,87% | 750,38 K USD | 0,52 | +69,17% | 4,29% | Asset allocation | Target outcome | |
284,09 M USD | 25,26 USD | +1,04% | 412,93 K USD | 0,52 | +7,67% | 0,40% | Asset allocation | Target outcome | |
MMRSKToews Agility Shares Managed Risk ETF | 270,44 M USD | 32,84 USD | +0,64% | 201,74 K USD | 0,26 | +27,39% | 0,98% | Asset allocation | Target outcome |
269,6 M USD | 12.495 KRW | +0,16% | 1,78 B KRW | 0,84 | −5,48% | 1,75% | Asset allocation | Rischio dell'obiettivo | |
CCOGCAPCCP ACTIVELY MANAGED ETF | 269,32 M USD | 1.107 ZAC | +2,03% | 443,91 K ZAC | 0,51 | −0,93% | — | Asset allocation | Target outcome |
259,7 M USD | 11,28 CAD | 0,00% | 66,78 K CAD | 0,86 | +23,71% | 0,66% | Asset allocation | Target outcome | |
259,42 M USD | 30,85 USD | +0,24% | 29,28 K USD | 3,45 | −4,39% | 1,43% | Asset allocation | Target outcome | |
256,9 M USD | 40,99 CAD | +0,64% | 570,42 K CAD | 1,13 | +38,07% | 0,22% | Asset allocation | Target outcome | |
255,09 M USD | 46,64 USD | +0,45% | 409,41 K USD | 0,80 | +31,42% | 0,35% | Asset allocation | Target outcome | |
253,74 M USD | 27,96 USD | +0,25% | 361,91 K USD | 0,79 | +2,15% | 0,70% | Asset allocation | Target outcome | |
250,27 M USD | 29,94 USD | +0,34% | 718,05 K USD | 1,38 | +22,48% | 0,49% | Asset allocation | Target outcome | |
246,32 M USD | 29,42 USD | +0,48% | 109,59 K USD | 0,22 | +22,08% | 1,14% | Asset allocation | Target outcome | |
241,16 M USD | 0,962 CNY | +0,21% | 39,69 M CNY | 0,58 | −5,17% | — | Asset allocation | Target outcome | |
232,72 M USD | 158,76 EUR | −1,13% | 239,73 K EUR | 1,93 | +18,99% | 0,44% | Asset allocation | Target outcome | |
TTSPXManager Directed Portfolios Twin Oak Active Opportunities ETF | 229,13 M USD | 25,42 USD | +1,06% | 19,77 K USD | 0,00 | — | 1,07% | Asset allocation | Target outcome |
222,54 M USD | 8.720 KRW | +1,45% | 1,88 B KRW | 0,64 | −7,02% | 0,39% | Asset allocation | Target outcome | |
218,03 M USD | 25,84 USD | +0,27% | 2,75 M USD | 0,68 | — | 0,85% | Asset allocation | Target outcome | |
204,72 M USD | 25,26 CAD | +0,16% | 185,16 K CAD | 1,69 | +23,05% | 0,32% | Asset allocation | Target outcome | |
192,72 M USD | 35,07 USD | +1,52% | 110,33 K USD | 0,43 | +3,17% | 0,65% | Asset allocation | Target outcome | |
189,44 M USD | 30,23 CAD | +0,47% | 86,25 K CAD | 0,25 | +24,71% | 0,94% | Asset allocation | Target outcome | |
180,05 M USD | 46,88 USD | −0,59% | 1,55 M USD | 0,15 | +27,18% | 0,20% | Asset allocation | Target outcome | |
178,37 M USD | 27,945 EUR | +0,22% | 7,91 K EUR | 0,09 | +16,99% | 0,25% | Asset allocation | Rischio dell'obiettivo | |
178,01 M USD | 18,62 CAD | +0,38% | 7,82 K CAD | 0,10 | +16,96% | 1,06% | Asset allocation | Target outcome | |
170,81 M USD | 26,23 CAD | 0,00% | 100,88 K CAD | 0,42 | +11,19% | 0,24% | Asset allocation | Target outcome | |
169,11 M USD | 23,94 CAD | +0,38% | 112,97 K CAD | 0,54 | +30,06% | 0,20% | Asset allocation | Target outcome | |
166,9 M USD | 12,02 CAD | −0,17% | 309,66 K CAD | 1,04 | +2,03% | 0,95% | Asset allocation | Target outcome | |
165,79 M USD | 13.660 KRW | +0,15% | 731,75 M KRW | 0,85 | +30,65% | 0,24% | Asset allocation | Target outcome | |
162,15 M USD | 14.250 KRW | +0,18% | 1,37 B KRW | 0,85 | −0,42% | 0,30% | Asset allocation | Data obiettivo | |
159,26 M USD | 13.075 KRW | 0,00% | 1,09 B KRW | 0,88 | −5,18% | 0,15% | Asset allocation | Rischio dell'obiettivo | |
151,67 M USD | 12.470 KRW | +0,32% | 1,24 B KRW | 1,06 | −4,68% | 0,25% | Asset allocation | Target outcome | |
151,61 M USD | 34,89 USD | +1,12% | 9,49 K USD | 0,53 | +31,26% | 0,64% | Asset allocation | Target outcome | |
150,99 M USD | 20,19 USD | −0,11% | 212,94 K USD | 0,47 | +2,37% | 0,85% | Asset allocation | Target outcome | |
149,11 M USD | 24,14 USD | +0,72% | 690,33 K USD | 1,81 | +11,38% | 0,80% | Asset allocation | Target outcome | |
141,84 M USD | 12.875 KRW | +0,23% | 556,08 M KRW | 0,63 | −1,30% | 0,25% | Asset allocation | Target outcome | |
138,51 M USD | 30,48 CAD | 0,00% | 77,27 K CAD | 0,80 | +53,14% | 1,22% | Asset allocation | Target outcome | |
135,37 M USD | 23,99 CAD | −0,50% | 45,58 K CAD | 0,10 | +5,63% | 0,47% | Asset allocation | Target outcome | |
131,65 M USD | 31,80 USD | −0,06% | 389,68 K USD | 0,51 | +29,53% | 0,75% | Asset allocation | Target outcome | |
130,46 M USD | 23,57 CAD | +0,55% | 173,99 K CAD | 0,39 | +56,97% | 0,31% | Asset allocation | Rischio dell'obiettivo | |
129,79 M USD | 30,70 USD | +0,48% | 145,83 K USD | 0,39 | +43,14% | 0,99% | Asset allocation | Target outcome | |
127,76 M USD | 22,89 USD | −0,26% | 133,84 K USD | 0,47 | +8,46% | 1,39% | Asset allocation | Target outcome | |
125,54 M USD | 22.550 KRW | 0,00% | 1,59 B KRW | 0,78 | +1,06% | 0,07% | Asset allocation | Target outcome | |
124,47 M USD | 33,48 USD | +1,03% | 136,36 K USD | 0,40 | +43,40% | 0,39% | Asset allocation | Target outcome | |
123,93 M USD | 34,02 USD | +1,36% | 1,12 M USD | 4,33 | +10,01% | 0,78% | Asset allocation | Target outcome | |
120,46 M USD | 21,14 USD | +0,96% | 264,72 K USD | 0,88 | +6,43% | 0,79% | Asset allocation | Rischio dell'obiettivo | |
119,57 M USD | 18,13 USD | +0,39% | 99,79 K USD | 0,73 | −11,59% | 0,98% | Asset allocation | Target outcome | |
118,25 M USD | 31,74 USD | +0,79% | 4,86 K USD | 0,01 | +45,66% | 1,01% | Asset allocation | Target outcome | |
118,03 M USD | 10,62 TWD | +0,47% | 274,07 M TWD | 1,56 | — | — | Asset allocation | Target outcome | |
117,95 M USD | 59,62 CAD | +0,44% | 82,04 K CAD | 0,33 | +58,52% | 0,25% | Asset allocation | Target outcome | |
114,81 M USD | 17,35 CAD | +0,12% | 176,26 K CAD | 0,65 | +32,04% | 0,21% | Asset allocation | Target outcome | |
114,13 M USD | 22,44 USD | +0,72% | 60,57 K USD | 0,30 | −9,29% | 2,06% | Asset allocation | Target outcome | |
113,5 M USD | 25,96 USD | +0,73% | 59,22 K USD | 0,50 | +39,00% | 1,12% | Asset allocation | Target outcome | |
113,15 M USD | 26,30 USD | +0,33% | 141,13 K USD | 1,70 | +9,02% | 0,45% | Asset allocation | Target outcome | |
112,99 M USD | 20,52 USD | +0,34% | 1,09 M USD | 1,63 | +16,23% | 0,49% | Asset allocation | Target outcome | |
111,56 M USD | 15,95 CAD | +0,38% | 41,29 K CAD | 0,25 | +37,84% | 0,22% | Asset allocation | Target outcome | |
110,56 M USD | 29,81 USD | +0,25% | 62,12 K USD | 0,69 | +3,88% | 1,02% | Asset allocation | Target outcome |