CI WisdomTree Europe Hedged Equity Index ETF

Fund Overview

The ETF seeks to track, to the extent possible, the price and yield performance of the WisdomTree Europe CAD-Hedged Equity Index (the "Index"), before fees and expenses.

The Index consists of dividend paying companies included in the WisdomTree International Equity Index that are domiciled in Europe and are traded in Euros, have at least US$1 billion market capitalization, derive at least 50% of their revenue in the latest fiscal year from countries outside of Europe, and have paid at least US$5 million in gross cash dividends.

Investor suitability
For those who:

  • want to invest in a broad range of equity securities in Europe
  • can handle the ups and downs of the stock market

Performance

 1m3m6mYTD1y2y3y4y5ySI
EHE 2.33%6.88%20.61%21.19%30.69%10.95%7.85%7.17%9.18%9.81%
Benchmark2.46%4.89%17.06%19.65%32.44%13.61%8.94%7.73%9.54%10.09%
As at: 31 Aug 2021 - Benchmark: MSCI EMU NR Index

 

Historical NAVs

Sector Breakdown

As at August 31, 2021

The indicated rates of return are the historical annual compounded total returns, including changes in unit value and do not take into account sales, redemption or optional charges or income taxes payable by a security holder that would have reduced returns.


The MSCI EMU Index measures the performance of stocks based in the European Economic and Monetary Union (EMU).

Key Facts

Fund Characteristics

Price/Earnings Ratio23.42
Price/Book Ratio2.91
As at 31 Aug, 2021

Fund Statistics

P/S Ratio (TTM) (Long)1.40
P/C Ratio (TTM) (Long)10.49
ROA % (TTM) (Long)6.84
ROE % (TTM) (Long)17.21
As at 31 Aug, 2021

Number of securities: 104

Asset Allocation

Security Type%
Foreign Stock99.95%
Currency Security0.05%

Holdings

NameSecurity TypeISINTicker %
ASML Holding NV Foreign StockNL0010273215 ASML NA 7.39
Linde PLC Foreign StockIE00BZ12WP82 LIN GY 6.85
Unilever PLC Foreign StockGB00B10RZP78 UNA NA 5.55
LOREAL Foreign StockFR0000120321 OR FP 3.96
AHOLD (KON) NV EUR 0.01 Foreign StockNL0011794037 AD NA 3.83
LVMH MOET HENNESSY LOUI EUR 0.3 RFD Foreign StockFR0000121014 MC FP 3.74
SIEMENS AG Foreign StockDE0007236101 SIE GR 3.54
SCHNEIDER ELECTRIC SA Foreign StockFR0000121972 SU FP 3.23
BASF AG Foreign StockDE000BASF111 BAS GR 3.18
DEUTSCHE TELEKOM AG Foreign StockDE0005557508 DTE GR 3.11
SAP AG ORD NPV Foreign StockDE0007164600 SAP GR 3.10
Sanofi Foreign StockFR0000120578 SAN FP 2.97
KONE CORP Foreign StockFI0009013403 KNEBV FH 2.95
CRH PLC EUR 0.32 Foreign StockIE0001827041 CRH ID 2.66
BAYER AG Foreign StockDE000BAY0017 BAYN GR 2.46
AIR LIQUIDE Foreign StockFR0000120073 AI FP 2.15
ACS ACTIVIDADES CONS Y SERV Foreign StockES0167050915 ACS SQ 1.99
KONINKLIJKE DSM NV Foreign StockNL0000009827 DSM NA 1.82
GROUPE DANONE Foreign StockFR0000120644 BN FP 1.78
BAYERISCHE MOTOREN WERKE AG EUR 1.0 Foreign StockDE0005190003 BMW GR 1.67
Solvay SA Foreign StockBE0003470755 SOLB BB 1.67
ASM INTERNATIONAL NV Foreign StockNL0000334118 ASM NA 1.47
WOLTERS KLUWER Foreign StockNL0000395903 WKL NA 1.45
Akzo Nobel NV Foreign StockNL0013267909 AKZA NA 1.44
DAIMLER AG NPV Foreign StockDE0007100000 DAI GR 1.25
Kering SA Foreign StockFR0000121485 KER FP 1.21
HERMES INTERNATIONAL Foreign StockFR0000052292 RMS FP 1.12
PERNOD-RICARD SA NPV Foreign StockFR0000120693 RI FP 1.07
Siemens Healthineers AG Foreign StockDE000SHL1006 SHL GR 1.02
VALMET CORP NPV Foreign StockFI4000074984 VALMT FH 0.82
Ferrari NV Foreign StockNL0011585146 RACE IM 0.82
UCB SA Foreign StockBE0003739530 UCB BB 0.72
HANNOVER RUECKVERSICHERUNG AG NPV Foreign StockDE0008402215 HNR1 GR 0.68
Hapag-Lloyd AG Foreign StockDE000HLAG475 HLAG GY 0.67
Neles Oyj Foreign StockFI4000440664 NELES FH 0.64
EVONIK INDUSTRIES AG NPV Foreign StockDE000EVNK013 EVK GR 0.56
LEGRAND SA Foreign StockFR0010307819 LR FP 0.53
Cie Generale des Etablissements Michelin SCA Foreign StockFR0000121261 ML FP 0.52
PUBLICIS GROUPE Foreign StockFR0000130577 PUB FP 0.51
CONTINENTAL AG Foreign StockDE0005439004 CON GR 0.51
STMICROELECTRONICS NV Foreign StockNL0000226223 STM IM 0.48
KERRY GROUP PLC EUR 0.125 Foreign StockIE0004906560 KYGA ID 0.48
FRESENIUS SE & CO KGAA Foreign StockDE0005785604 FRE GR 0.47
INFINEON TECHNOLOGIES AG NPV Foreign StockDE0006231004 IFX GR 0.42
GLANBIA PLC Foreign StockIE0000669501 GLB ID 0.42
HUHTAMAKI OYJ Foreign StockFI0009000459 HUH1V FH 0.41
Grifols SA Foreign StockES0171996087 GRF SM 0.39
Fresenius Medical Care AG & Co KGaA Foreign StockDE0005785802 FME GR 0.39
KONECRANES OYJ Foreign StockFI0009005870 KCR FH 0.39
BE SEMICONDUCTOR INDS N V EUR 0.01 Foreign StockNL0012866412 BESI NA 0.38
CIE AUTOMOTIVE SA Foreign StockES0105630315 CIE SM 0.37
KNORR-BREMSE AG Foreign StockDE000KBX1006 KBX GY 0.36
KONINKLIJKE VOPAK NV EUR 1.0 Foreign StockNL0009432491 VPK NA 0.35
Henkel AG & Co KGaA Foreign StockDE0006048408 HEN GY 0.35
VISCOFAN SA EUR 0.3 Foreign StockES0184262212 VIS SM 0.35
BRENNTAG AG EUR N.A. Foreign StockDE000A1DAHH0 BNR GY 0.35
EXOR Holding NV Foreign StockNL0012059018 EXO IM 0.34
SBM OFFSHORE NV Foreign StockNL0000360618 SBMO NA 0.33
CARGOTEC CORP Foreign StockFI0009013429 CGCBV FH 0.32
DASSAULT SYSTEMES EUR 0.1 Foreign StockFR0014003TT8 DSY FP 0.31
PROSEGUR SERVICIOS DE SEGURIDAD NPV Foreign StockES0175438003 PSG SM 0.27
UMICORE NPV Foreign StockBE0974320526 UMI BB 0.25
Covestro AG Foreign StockDE0006062144 1COV GR 0.25
IMCD GROUP NV EUR 0.16 Foreign StockNL0010801007 IMCD NA 0.24
ANDRITZ AG Foreign StockAT0000730007 ANDR AV 0.24
KEMIRA OYJ Foreign StockFI0009004824 KEMIRA FH 0.24
MELEXIS NV Foreign StockBE0165385973 MELE BB 0.23
ARKEMA Foreign StockFR0010313833 AKE FP 0.22
Prosegur Cash SA Foreign StockES0105229001 CASH SM 0.22
WENDEL INVESTISSEMENT Foreign StockFR0000121204 MF FP 0.21
IMERYS SA Foreign StockFR0000120859 NK FP 0.20
TELEPERFORMANCE EUR 2.5 Foreign StockFR0000051807 TEP FP 0.20
Merck KGaA Foreign StockDE0006599905 MRK GY 0.20
RUBIS SCA EUR 1.25 Foreign StockFR0013269123 RUI FP 0.18
Davide Campari-Milano NV Foreign StockNL0015435975 CPR IM 0.18
SYMRISE AG Foreign StockDE000SYM9999 SY1 GR 0.16
BEIERSDORF AG NPV Foreign StockDE0005200000 BEI GR 0.16
REPLY SPA Foreign StockIT0005282865 REY IM 0.15
BIC Foreign StockFR0000120966 BB FP 0.15
BARCO NV EUR 1.0 Foreign StockBE0974362940 BAR BB 0.15
FISKARS OYJ ABP-A SHARES Foreign StockFI0009000400 FSKRS FH 0.15
HEIDELBERGCEMENT AG NPV RFD Foreign StockDE0006047004 HEI GR 0.13
Siltronic AG Foreign StockDE000WAF3001 WAF GY 0.12
BEKAERT SA Foreign StockBE0974258874 BEKB BB 0.12
SA DES CIMENTS VICAT EUR 4.0 Foreign StockFR0000031775 VCT FP 0.10
LANXESS AG NPV Foreign StockDE0005470405 LXS GR 0.10
GAZTRANSPORT ET TECHNIGAZ EUR 0.01 Foreign StockFR0011726835 GTT FP 0.09
GEA GROUP AG NPV RFD Foreign StockDE0006602006 G1A GR 0.09
COBION N.V. NLD NPV Foreign StockNL0010583399 CRBN NA 0.08
Metso Outotec Oyj Foreign StockFI0009014575 MOCORP FH 0.07
DUERR AG Foreign StockDE0005565204 DUE GY 0.07
Sartorius Stedim Biotech Foreign StockFR0013154002 DIM FP 0.07
SEB SA EUR Foreign StockFR0000121709 SK FP 0.07
Vitesco Technologies Group AG Foreign StockDE000VTSC017 VTSC GR 0.07
SOFTWARE AG DARMST NPV Foreign StockDE000A2GS401 SOW GR 0.06
Revenio Group Oyj Foreign StockFI0009010912 REG1V FH 0.06
REMY COINTREAU Foreign StockFR0000130395 RCO FP 0.05
Carel Industries SpA Foreign StockIT0005331019 CRL IM 0.05
IPSOS Foreign StockFR0000073298 IPS FP 0.04
WACKER CHEMIE AG Foreign StockDE000WCH8881 WCH GR 0.04
KRONES AG Foreign StockDE0006335003 KRN GY 0.03
BIOMERIEUX NPV Foreign StockFR0013280286 BIM FP 0.03
ARSEUS NV Foreign StockBE0003874915 FAGR BB 0.02
Eckert & Ziegler Strahlen- und Medizintechnik AG Foreign StockDE0005659700 EUZ GY 0.02
EUROPEAN CURRENCY UNIT Currency Security 0.04
US DOLLAR Currency Security 0.01

As at: 17 September 2021
Holdings are subject to change

100.15%

Distributions

Distribution details (.csv)

Twelve month trailing distribution yield : 2.31% (as at 17 Sep 2021)

EHETotalCashReinvestedEligible dividendsNon eligible dividendsOther incomeCapital GainsReturn of capitalForeign IncomeForeign tax paid
SI$8.51310$2.32000$6.19310---$0.77900$0.06376$7.10285$0.31341
2021 +$0.29000$0.29000--------
24-Jun$0.16000$0.16000--------
25-Mar$0.13000$0.13000--------
2020 +$0.63500$0.63500------$0.74700$0.11200
31-Dec$0.31500$0.31500------$0.37056$0.05556
30-Sep$0.07500$0.07500------$0.08823$0.01323
30-Jun$0.11500$0.11500------$0.13528$0.02028
31-Mar$0.13000$0.13000------$0.15293$0.02293
2019 +$1.32900$0.55000$0.77900---$0.77900-$0.67447$0.12447
31-Dec$0.77900-$0.77900---$0.77900---
31-Dec$0.06500$0.06500------$0.07971$0.01471
30-Sep$0.16500$0.16500------$0.20234$0.03734
28-Jun$0.16500$0.16500------$0.20234$0.03734
29-Mar$0.15500$0.15500------$0.19008$0.03508
2018 +$0.59090$0.46500$0.12590-------
31-Dec$0.11500$0.11500--------
31-Dec$0.12590-$0.12590-------
28-Sep$0.15000$0.15000--------
29-Jun$0.10000$0.10000--------
29-Mar$0.10000$0.10000--------
2017 +$3.08220$0.28000$2.80220----$0.06376$3.08291$0.06447
29-Dec$0.06000$0.06000-----$0.01913$0.05172$0.01085
29-Sep$0.06000$0.06000-----$0.01913$0.05172$0.01085
30-Jun$0.08000$0.08000-----$0.02550$0.06896$0.01446
28-Apr$2.80220-$2.80220-----$2.82972$0.02752
31-Mar$0.08000$0.08000------$0.08079$0.00079
2016 +$2.58600$0.10000$2.48600-----$2.59847$0.01247
31-Dec$2.48600-$2.48600-----$2.29080$0.01100
30-Dec$0.07000$0.07000------$0.27753$0.00133
28-Sep$0.03000$0.03000------$0.03014$0.00014

(1) Future distribution dates may be amended at any time. (2) Reinvested distributions are not paid in cash but instead remain invested in the Fund. To recognize that these distributions have been allocated to investors for tax purposes the amounts of these distributions should be added to the adjusted cost base of the units held. (3) The characterization of distributions for tax purposes (such as dividends/other income/capital gains etc.) will not be known for certain until after the Fund's tax year end. Therefore investors will be informed of the characterization of the amounts distributed for tax purposes only for the entire year and not with each distribution. For tax purposes these amounts will be reported by brokers on official tax statements.

Documents

18 Jun, 2021 - ETF Facts

National Instrument 81-106 Investment Fund Continuous Disclosure requires disclosure of the proxy voting record on an annual basis for the period ending on June 30 of each year. The proxy voting record must be posted on the website no later than August 31 of each year.

Canadian securities law provides that the manager of an investment funds (in this case, CI Investments Inc. ("CI")), acting on behalf of the investment fund, has the right and obligation to vote proxies relating to the investment fund's portfolio securities. As a practical matter, CI delegates this function to the applicable portfolio manager or sub-adviser, as part of the portfolio manager's or sub-adviser's general management of the investment fund assets, subject to oversight by CI. CI generally requires that applicable portfolio managers or sub-advisers vote all proxies in the best interest of CI's funds and their securityholders, as determined solely by the portfolio manager or sub-adviser, and subject to CI's proxy voting policy, the guidelines applicable to the individual portfolio manager or sub-adviser, and applicable legislation. Portfolio managers and sub-advisers are generally expected to vote on any matter for which the investment fund receives proxy materials for a meeting of securityholders of an issuer.

Proxy voting record for the most recent year:

30 Jun, 2020 - Proxy Voting Record

Warning: Documents posted on this website (including, without limitation, prospectuses) are current only as of the date on them

To access the SEDAR filings of CI WisdomTree Europe Hedged Equity Index ETF please click here