Wealthsimple North America Socially Responsible Index ETF (WSRI)
$44.84CAD
+$44.84 (+4,484.00%)
Details
$45.22
$45.22
The price of this investment when the exchange last opened.
$45.22
$45.22
The highest price of this investment during regular trading hours.
$44.80
$44.80
The lowest price of this investment during regular trading hours.
124B
124B
The value of this ETF or company's issued shares based on the price of a single share multiplied by the total number of issued shares.
Learn more21.60
21.60
The price to earnings ratio (P/E) is the relationship between an investment's price and earnings per share (EPS). It's a metric that can be used to determine the valuation or potential growth of an investment based on its past or future earnings. It's calculated by dividing the share price by EPS.
Learn more$45.85
$45.85
The highest price this investment has been in the past 52 weeks.
$36.33
$36.33
The lowest price this investment has been in the past 52 weeks.
1.3K
1.3K
The total number of shares bought and sold.
About WSRI
Environmental values
We avoid companies that contribute to fossil fuel extraction and usage, are very carbon-intensive relative to their industry, or are involved in coal mining or power generation.
Social values and controversies
We avoid companies involved in human rights controversies (for example, private prisons); defence contractors and weapon manufacturers; casino, gaming, and adult entertainment companies; and manufacturers of alcohol and tobacco.
Low cost
Our products have market-leading fees. 0.2% for North America and 0.25% for developed markets ex-North America.
Superior portfolio construction
Companies in the index are weighted by risk, not market capitalization, and companies in the bottom quartile of a value, quality, and momentum multifactor score are excluded.
Gender diversity
We avoid companies without gender diversity at the board level and vote against proposals that would take company boards below our targets
Weighting & Holdings
Industry Weight
Consumer Staples
18.3%
Health Care
15.2%
Consumer Discretionary
13.8%
Technology
13.2%
Materials
12.1%
Financials
12.0%
Industrials
5.3%
Utilities
5.0%
Communications
4.0%
Real Estate
0.9%
Geographic Weight
United States
72.0%
Canada
24.7%
Other
3.2%
Top Holdings
Hydro One Ltd
5.0%
Vulcan Materials Co
2.2%
Wheaton Precious Metals Corp
2.1%
Agnico Eagle Mines Ltd
2.0%
West Fraser Timber Co Ltd
1.7%
NVR Inc
1.7%
Coca-Cola Co/The
1.6%
Procter & Gamble Co/The
1.5%
Colgate-Palmolive Co
1.5%
Keurig Dr Pepper Inc
1.5%
Managed Investing
Custom portfolios, designed by experts
Professionally managed and tailored to your goals, we'll diversify your investments to maximize returns and minimize risk.