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Power Corporation of Canada ETF List

Here you can find all ETFs issued by Power Corporation of Canada and compare their essential indicators like expense ratio or rate of return to see which one suits your portfolio best.

Number of ETFs
3
Avg. Expense Ratio
0.59%
Avg. 1 Year Return
14.80%
Avg. 5 Year Return
11.62%
Median Risk/Return Score
26 / 100
Power Corporation of Canada ETF List

3 results

SymbolFull NameCategoryInceptionExpense RatioYTD Return10Y Return (Annualized)Dividend Yield

Risk / Return Rank

Max. DrawdownSharpe RatioSortino RatioOmega RatioMartin RatioCalmar RatioUlcer Index
Putnam Sustainable Future ETFSustainableMay 25, 20210.64%
Putnam Focused Large Cap Growth ETFLarge Cap Growth EquitiesMay 25, 20210.55%
6.06%
0.02%
26
Putnam Sustainable Leaders ETFSustainableMay 25, 20210.59%

Rows per page

1–3 of 3

Explore top Power Corporation of Canada ETF Categories and Asset Classes


Best Power Corporation of Canada ETFs by Risk/Return Score


SymbolNameRisk / Return RankAUMInception
Putnam Focused Large Cap Growth ETF
26
114.36MMay 2021

Best-Performing Power Corporation of Canada ETFs Over 5 Years


SymbolNameReturn 5YAUMInception
Putnam Focused Large Cap Growth ETF
11.62%
114.36MMay 2021

Lowest-Cost Power Corporation of Canada ETFs

The top Power Corporation of Canada ETFs is PGRO (0.55%). With an average expense ratio of 0.59%, Power Corporation of Canada ETFs remain a low-cost option for investors seeking broad market exposure, sector allocations, and diversified portfolio building blocks.

SymbolNameExpense RatioAUMInception
Putnam Focused Large Cap Growth ETF0.55%114.36MMay 2021
Putnam Sustainable Leaders ETF0.59%2.85MMay 2021
Putnam Sustainable Future ETF0.64%3.90MMay 2021

Highest-Yield Power Corporation of Canada ETFs


SymbolNameDividend YieldAUMInception
Putnam Focused Large Cap Growth ETF0.02%114.36MMay 2021

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Top ETFs Comparisons

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Risk vs. Return Scatterplot

The Risk vs. Return Scatterplot allows you to quickly compare funds, stocks, and ETFs in one view. It displays the yearly return of an instrument on one axis and the risk (volatility) on the other.

0%Annualized Volatility0%Annualized Return

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