Zlb Etf Fact Sheet Discount
ETFS PROFILE SUMMARY - TD
4 days ago Inception. October 21, 2011. As of 2024-03-31. BMO Low Volatility Canadian Equity ETF seeks to provide exposure to the performance of a portfolio of Canadian equities that have lower sensitivity to market movements with the … ...
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BMO LOW VOLATILITY CANADIAN EQUITY ETF (ZLB) STOCK PRICE
3 days ago BMO Low Volatility Canadian Equity ETF's stock was trading at $41.97 at the beginning of the year. Since then, ZLB shares have increased by 5.3% and is now trading at $44.19. View the best growth stocks for 2024 here. ...
Category: Trading
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Get CodeVIRTUS ALPHASIMPLEX MANAGED FUTURES ETF
4 days ago The ETF seeks to provide capital appreciation consistent with the risk/return characteristics of a basket of the largest Managed Futures funds in the world (as measured by the SG CTA Index). The ETF takes a diversified approach to identifying price trends by combining index replication techniques with insights from AlphaSimplex's own trend … ...
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Get CodeISHARES S&P/TSX CANADIAN DIVIDEND ARISTOCRATS INDEX ETF
4 days ago Trade this ETF now through your brokerage. CDZ iShares S&P/TSX Canadian Dividend Aristocrats Index ETF NAV as of May 16, 2024 CAD 31.91 52 WK: 27.06 - 31.95 1 Day NAV Change as of May 16, 2024 0.01 (0.03%) NAV Total Return as of May 15, 2024 YTD: 4.26% Overview; Performance; Key Facts; Holdings; Exposure Breakdowns; ...
ACTIVE ETF PRODUCTS - DYNAMIC FUNDS
5 days ago Fund Facts. (PDF opens in new window) Dynamic Active Enhanced Yield Covered Options ETF. Total funds. $534.53 MM. DXQ. Currency. 24.5480. ...
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AVUS: ACTIVELY MANAGED LOW-COST ETF DESIGNED FOR VALUE …
2 days ago AVUS ranks #16/229 among all large-cap blend ETFs on sub-industry diversification, so it's best designed for the most passive investors who want to own the entire U.S. stock market. ...
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Get CodeISHARES S&P/TSX COMPOSITE HIGH DIVIDEND INDEX ETF | XEI - BLACKROCK
3 days ago Net Assets as of May 15, 2024 CAD 1,642,510,900. Inception Date Apr 12, 2011. Exchange Toronto Stock Exchange. Asset Class Equity. Benchmark Index S&P/TSX Composite High Dividend Index. Units Outstanding as of May 15, 2024 63,700,000. CUSIP 46431L113. Price as of May 15, 2024 25.78. Number of Holdings as of May 14, … ...
WANT TO PICK UP FRUGAL HABITS? START WITH 6 ITEMS AT THESE 3 DISCOUNT ...
1 day ago According to YouTuber Sensational Finds, whose channel focuses on shopping tips, the Real Techniques sponge is a real steal for healthy skincare. She compared the price at Dollar Tree, $1.25, to ... ...
Category: Health
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Get CodeEARNINGS CALL: IRIDEX REPORTS Q1 2024 REVENUE DECLINE, ONGOING ...
1 day ago IRIDEX's Q1 2024 revenue fell to $11.8 million, a decrease from the previous year. The company is undergoing a strategic review and is in negotiations for potential transactions. The retina business maintains a global leadership position, while the glaucoma business is expanding its market presence. A decline in revenue is attributed to longer ... ...
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ETFS - AMERICAN BEACON
4 days ago The ETF will seek to capitalize on the price trends in a broad range of more than 20 global markets. Reflecting the core of AHL's investment philosophy, the ETF is 100% systematic, with no subjective buy or sell decisions. ... DISCOUNT / PREMIUM Discount/Premium: ... Fact Sheet; Overview Flyer; Monthly Data Flyer; Launch Press … ...
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Get CodeALPS | SMITH CORE PLUS BOND ETF | ALPS FUNDS
6 days ago $25.03. Market Price. $24.96. NAV. -$0.09 | -0.36% NAV Change. -0.36% Daily Return. $667.04M. Net Assets. -2.20% YTD Return. 1.71% Trailing Twelve Month Yield. Overview. Performance and Fees. Facts and Characteristics. Portfolio. Distributions. Resources. Bloomberg ETF IQ Interview - SMTH. ...
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Get CodeFIXT - PROCURE
5 days ago The Procure Disaster Recovery Strategy ETF tracks a portfolio of companies engaged in recovering from natural disasters, such as hurricanes, wildfires, floods or earthquakes. The Procure Disaster Recovery Strategy ETF (the “Fund”) seeks investment results that correspond generally to the performance, before the Fund’s fees and … ...
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Get CodeABRDN GLOBAL INFRASTRUCTURE INCOME FUND
4 days ago NAV $ 20.98. Market Price $ 18.24. Premium+/Discount- % -13.06. Unadjusted NAV† $ 20.96. The NAV information is provided by the Fund's accounting agent. The price is as reported by the exchange on which the Fund trades. This information is unaudited and neither abrdn Inc., its wholly owned subsidiaries, the Funds, nor any … ...
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THE MATERIALS SELECT SECTOR SPDR® FUND XLB - STATE STREET …
5 days ago $5,665.39 M. as of May 14 2024. Gross Expense Ratio. 0.09% Quick Links. Factsheet pdf. Prospectus pdf. ETF Historical Distributions. Key Features. ...
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Get CodeSPRING'S SPRUNG - KRANESHARES
2 days ago Shares may trade at a premium or discount to their NAV in the secondary market. Brokerage commissions will reduce returns. Beginning 12/23/2020, market price returns are based on the official closing price of an ETF share or, if the official closing price isn't available, the midpoint between the national best bid and national best offer … ...
ISHARES CORE MSCI CANADIAN QUALITY DIVIDEND INDEX ETF
4 days ago Fact Sheet. Prospectus. Proxy Voting History. Download. XDIV. iShares Core MSCI Canadian Quality Dividend Index ETF. NAV as of May 15, 2024 CAD 27.31. 52 WK: 23.25 - 27.31. 1 Day NAV Change as of May 15, 2024 0.01 (0.04%) NAV Total Return as of May 15, 2024 YTD: 8.64% Overview. Performance. Key Facts. Holdings. Exposure … ...
QTUM: THE NEXT GENERATION QUANTUM COMPUTING & AI ETF - DEFIANCE ETFS
5 days ago Fund Details. Data as of 05/14/2024. Net Assets $266.26M. Premium/discount 0.29% NAV $60.51. Closing Price $60.69. Shares Outstanding 4,400,000. Median 30 Day Spread 0.05% Fund inception 09/04/2018. Ticker QTUM. Primary Exchange NYSE. CUSIP 26922A420. Fund Holdings 70. NAV Symbol … ...
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ISHARES CANADIAN SELECT DIVIDEND INDEX ETF | XDV - BLACKROCK
3 days ago Fact Sheet. Prospectus. Proxy Voting History. XDV. iShares Canadian Select Dividend Index ETF. NAV as of May 15, 2024 CAD 27.86. 52 WK: 24.36 - 28.44. 1 Day NAV Change as of May 15, 2024 0.02 (0.08%) NAV Total Return as of May 15, 2024 YTD: 2.75% Overview. Performance. Growth of Hypothetical $10,000. View full chart. ...
SGDJ SPROTT JUNIOR GOLD MINERS ETF
3 days ago Market Price 1. $34.62. Premium/Discount 2. 0.67% Key Facts. Sprott Junior Gold Miners Exchange Traded Fund (NYSE Arca: SGDJ) seeks investment results that correspond (before fees and expenses) generally to the performance of its underlying index, the Solactive Junior Gold Miners Custom Factors Index (Ticker: SOLJGMFT). ...
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Get CodeISHARES CORE MSCI EMERGING MARKETS ETF | IEMG | US CLASS
4 days ago Fund Inception Oct 18, 2012. Exchange NYSE Arca. Asset Class Equity. Benchmark Index MSCI Emerging Markets IMI Net Index. Bloomberg Index Ticker - Shares Outstanding as of May 10, 2024 1,477,800,000. Distribution Frequency Semi-Annual. Premium/Discount as of May 10, 2024 0.03. CUSIP 46434G103. Closing Price as of … ...
SPDR® BLOOMBERG CONVERTIBLE SECURITIES ETF CWB - STATE …
5 days ago Assets Under Management. $3,457.43 M. as of May 10 2024. Gross Expense Ratio. 0.40% Quick Links. Factsheet pdf. Prospectus pdf. ETF Historical Distributions. Key Features. ...
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INVESCO | PRODUCT DETAIL | INVESCO S&P 500® LOW VOLATILITY ETF
2 days ago The Invesco S&P 500 ® Low Volatility ETF (Fund) is based on the S&P 500 ® Low Volatility Index (Index). The Fund will invest at least 90% of its total assets in the securities that comprise the Index. The Index is compiled, maintained and calculated by Standard & Poor's and consists of the 100 securities from the S&P 500 ® Index with the ... ...
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Get CodeISHARES CORE CANADIAN UNIVERSE BOND INDEX ETF | XBB - BLACKROCK
4 days ago NAV as of May 15, 2024 CAD 27.46. 52 WK: 25.87 - 28.33. 1 Day NAV Change as of May 15, 2024 0.20 (0.74%) NAV Total Return as of May 15, 2024 YTD: -1.41%. Overview. Performance. ...
ISHARES NASDAQ 100 INDEX ETF (CAD-HEDGED) | XQQ - BLACKROCK
5 days ago Fact Sheet. Prospectus. Proxy Voting History. Download. XQQ. iShares NASDAQ 100 Index ETF (CAD-Hedged) NAV as of May 14, 2024 CAD 139.05. 52 WK: 103.06 - 139.40. 1 Day NAV Change as of May 14, 2024 0.93 (0.68%) NAV Total Return as of May 14, 2024 YTD: 8.77% Overview. Performance. Key Facts. Holdings. Exposure … ...
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