BMO Low Volatility Em Mkts Eq ETF TSX

Morningstar Medalist Rating™
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Market Closed
$18.29
0.67 | 3.53%
CAD | Toronto Stock Exchange | NAV as of Apr 04, 2025 | Last Price updated as of Apr 04, 2025, 12:10 PM EST
  • NAV
    18.58
  • Open Price
    18.39
  • Bid / Ask / Spread
    14.00 / 0.00 / 0.00%
  • Volume / Avg
    950.0 / 1.8 k
  • Day Range
    18.29 – 18.39
  • Year Range
    17.28 – 20.42
  • 12-Month Yield
    3.53%
  • Prospectus Benchmark
    MSCI EM NR CAD
  • Premium
    2.05%
  • MER
    0.50%
  • Total Assets
    60.9 Mil
  • Category
    Canada Fund Emerging Markets Equity

Performance

Growth of 10,000

  • Index
    19,724
  • Category
    15,281
  • ZLE
    11,454
  • Growth
A chart contrasting Fund Growth of 10k over 10 years versus Category and Index
2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 YTD
Manager Change : Full Partial
Total Return % 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 YTD
Investment (Price) 14.22 -7.12 11.00 -1.09 -6.45 -9.59 3.20 15.30 -2.75
Investment (NAV) 14.82 -5.46 7.92 0.35 -8.06 -11.83 7.70 14.48 -1.65
Category (NAV) 6.40 25.11 -8.32 12.07 13.09 -2.58 -15.52 7.38 14.29 -3.15
Index (Price) 8.66 27.40 -4.63 13.36 15.81 -2.30 -11.84 7.63 17.21 0.11
Quartile Rank
Percentile Rank 96 26 83 89 89 18 46 52 24
# of Invest. in Cat. 188 218 224 286 287 279 284 269 276 244
Category Name
CA029 Canada Fund Emerging Markets Equity
CA029 Canada Fund Emerging Markets Equity
CA029 Canada Fund Emerging Markets Equity
CA029 Canada Fund Emerging Markets Equity
CA029 Canada Fund Emerging Markets Equity
CA029 Canada Fund Emerging Markets Equity
CA029 Canada Fund Emerging Markets Equity
CA029 Canada Fund Emerging Markets Equity
CA029 Canada Fund Emerging Markets Equity
CA029 Canada Fund Emerging Markets Equity

Trailing Returns

Total Return %
1-Day
1-Week
1-Month
3-Month
YTD
1-Year
3-Year
5-Year
10-Year
15-Year
Earliest Available
Total Return % (Price) -3.11 -4.97 -3.82 -2.29 -2.75 8.61 3.60 3.82 1.44
Total Return % (NAV) -1.63 -3.71 -2.67 -1.91 -1.65 9.71 4.08 4.22 1.54
Category (NAV) -2.77 -6.01 -5.32 -3.89 -3.15 4.91 2.58 6.76 3.02 3.48
Index (NAV) 0.04 -3.05 -1.90 -0.07 0.11 11.30 5.60 9.39 5.53 6.14
Quartile Rank
Percentile Rank 27 17 20 23 24 11 34 87
# of Invest. in Cat. 245 245 245 244 244 230 207 174 89 46

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