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BMO ETF
A one-ticket global equity portfolio: 4,355 stocks held through six underlying funds, 49% United States, unhedged, for 0.18% a year.
Funds of this type differ on a small set of facts. Where this fund sits on each:
Broad equity exposure. The portfolio is spread across many holdings rather than depending on any one stock.
Top holding: Nvidia Corp Common Stock Usd.001 3.5% (broad) · Top sector: Technology 26.0% (broad) · Top region: United States 48.9% (global)
Technology 26.0%·Financials 20.4%·Industrials 10.9%·Consumer Discretionary 7.4%·Materials 6.7%·Other 6.4%·Other (locked) 21.4%
United States 48.9%·Canada 24.4%·Europe 11.4%·Emerging Markets 9.3%·Japan 4.0%·Other 1.2%
Look-through via underlying funds.
The management fee was 0.18% a year, or about $18 for every $10,000 held. This figure is the fund's own fee; the underlying funds it holds are covered by it rather than charged again. Trading spreads are separate from this fee. This is the management fee as published by the provider; the total expense ratio can be slightly higher once fund operating costs are added.
How durable the fund is, and what moved its price.
| Assets | $26M· net assets |
| Listed | 2026· 0 years of history |
| Leverage / overlay | None |
What moved the price
| Ticker | ZEQT.T.TO |
| Exchange | TSX |
| Currency | CAD |
| FX strategy | CAD-unhedged |
| Asset class | Equity |
| Structure | Fund of funds |
| Theme | Broad Market |
| Geography | Global / World |
| Provider | BMO ETF |
| Mgmt fee | 0.18% |
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Prices as of last close.
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