MANULIFE SMART U S DEF EQUITY ETF HEDGED UNITMANULIFE SMART U S DEF EQUITY ETF HEDGED UNITMANULIFE SMART U S DEF EQUITY ETF HEDGED UNIT

MANULIFE SMART U S DEF EQUITY ETF HEDGED UNIT

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MANULIFE SMART U S DEF EQUITY ETF HEDGED UNIT holdings


As of April 3, 2025
Symbol
Weight %
Shares
Shares Chg %
1M
Market value
Market value Chg %
1M
B
BRK.BBerkshire Hathaway Inc. Class B
2.30%
‪191.00‬
0.00%
‪‪142.63 K‬‬CAD
+0.93%
P
PGRProgressive Corporation
2.29%
‪352.00‬
0.00%
‪‪142.30 K‬‬CAD
−2.23%
T
TMUST-Mobile US, Inc.
2.25%
‪369.00‬
0.00%
‪‪139.24 K‬‬CAD
−4.65%
M
MCDMcDonald's Corporation
2.22%
‪307.00‬
0.00%
‪‪137.63 K‬‬CAD
+1.57%
X
XOMExxon Mobil Corporation
2.15%
‪840.00‬
0.00%
‪‪133.03 K‬‬CAD
+1.32%
V
VZVerizon Communications Inc.
2.09%
‪‪2.01 K‬‬
0.00%
‪‪129.42 K‬‬CAD
+0.99%
V
VVisa Inc. Class A
2.02%
‪262.00‬
0.00%
‪‪125.25 K‬‬CAD
−8.91%
I
IBMInternational Business Machines Corporation
1.98%
‪358.00‬
0.00%
‪‪122.78 K‬‬CAD
−5.49%
J
JNJJohnson & Johnson
1.95%
‪538.00‬
0.00%
‪‪121.11 K‬‬CAD
−7.22%
M
MAMastercard Incorporated Class A
1.94%
‪161.00‬
0.00%
‪‪120.32 K‬‬CAD
−10.38%
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