Components CI First Asset Morningstar International Value Index ETF (Unhedged) - CAD

ETF

VXM.B

CA12555N2023

Market Closed - Toronto S.E. 22:59:40 07/08/2026 +03 5-day change 1st Jan Change
51.38 CAD +0.42% Intraday chart for CI First Asset Morningstar International Value Index ETF (Unhedged) - CAD +1.29% +16.31%

Components: CI First Asset Morningstar International Value Index ETF (Unhedged) - CAD

32,220.00JPY+0.78%+82.70%0.92%
1,022.50JPY+0.20%-2.71%0.75%
7,792.00JPY+1.59%+29.50%0.7%
8,660.00JPY-2.48%+72.17%0.65%
10,320.00JPY+0.34%-13.28%0.64%
63.70USD+0.46%-6.86%0.62%
5,165.00JPY-0.88%+30.99%0.61%
367.40GBX+1.10%+29.59%0.59%
922.70JPY+0.13%-5.46%0.59%
8,053.00JPY+0.11%+75.45%0.59%
5,500.00JPY-2.52%+9.39%0.59%
5,226.00JPY-3.29%+39.36%0.59%
12.48EUR-0.40%-21.85%0.59%
4,140.00JPY+0.85%-3.38%0.58%
25.32HKD-0.47%+7.74%0.58%
2,384.50JPY+0.55%-2.87%0.57%
2,420.50JPY-2.97%+84.63%0.57%
19.83HKD+1.69%-33.28%0.57%
1,794.50JPY-0.28%+6.88%0.57%
2,327.00JPY+0.39%+9.61%0.57%
2,914.00JPY-0.75%+14.27%0.57%
47.84HKD-2.29%+35.29%0.57%
908.30JPY+0.35%-8.71%0.57%
0.3550HKD+1.43%-19.32%0.57%
13.96HKD+1.09%-12.59%0.57%
13.42NOK-0.33%-23.07%0.56%
32.89EUR+0.50%-0.66%0.56%
3,026.00JPY+1.51%+7.76%0.56%
3.514EUR-0.06%+26.49%0.56%
176.00NOK+6.09%+79.50%0.56%
88.80NOK-1.44%+1.49%0.56%
173.70EUR-4.14%+39.86%0.56%
1,577.00JPY-1.16%+29.74%0.56%
3,602.00JPY-14.22%-16.91%0.56%
3,560.00JPY-2.06%+24.69%0.56%
1,349.50JPY+3.81%+21.91%0.55%
9.810SGD-0.91%+12.24%0.55%
199.30GBX-0.35%+8.29%0.55%
3,000.00JPY+0.87%+26.74%0.55%
1,788.00JPY+2.14%+13.84%0.55%
7.708EUR-0.44%-14.20%0.55%
1,821.00JPY+3.70%+26.99%0.55%
3,030.00JPY-1.14%-2.73%0.55%
4,545.00JPY+1.00%+1.79%0.54%
1,740.00JPY+1.28%+10.83%0.54%
7,988.00ILa+1.01%-6.12%0.54%
3.700SGD-1.33%+77.03%0.54%
25.28EUR-0.71%+58.74%0.54%
4,855.00JPY+2.19%+22.57%0.54%

ETF Ratings

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Description

CA12555N2023
Total Expense Ratio 0.63%
Asset Class Stocks
Currency
Provider
Underlying Morningstar Developed Markets ex-North America Target Value Net Total Return Index - CAD
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Fund Structure
Date of creation
13/11/2014
Factor

Distribution

Retail investor

AuM evolution - 27/02/2026

AuM (CAD) 518M
AuM 1M 458M
AuM 3 months 399M
AuM 6 months 331M
AuM 12 months 274M
  1. Stock Market
  2. ETF
  3. VXM.B ETF
  4. Components CI First Asset Morningstar International Value Index ETF (Unhedged) - CAD