Altre lingue Global X Active Canadian Bond ETF - CAD

ETF

HAD

CA37892W1023

Mercato chiuso - Toronto S.E. 15:30:00 16/07/2024 Variaz. 5gg Var. 1 gen.
8,86 CAD -0,34% Grafico intraday di Global X Active Canadian Bond ETF - CAD 0,00% -1,77%
Horizons Active Cdn Bond ETF Announces January 2014 Distribution, Payable on or About February 12, 2014
Horizons Active Cdn Bond ETF Announces December 2013 Distributions, Payable on or About January 13, 2014
Horizons Active Cdn Bond ETF Declares November 30, 2013 Distribution, Payable on or About December 11, 2013
Horizons Active Cdn Bond ETF Declares October 2013 Distribution, Payable on or About November 12, 2013
Horizons Active Cdn Bond ETF Declares September 2013 Distributions, Payable on or About October 10, 2013
Horizons Active Cdn Bond ETF Declares August 2013 Distributions, Payable on or About September 12, 2013
Horizons Active Cdn Bond ETF Declares July 2013 Distributions, Payable on or About August 13, 2013
Horizons Active Cdn Bond ETF Declares July 2013 Distributions, Payable on or About August 13, 2013
Horizons Active Cdn Bond ETF Declares June 2013 Distribution, Payable on or About July 11, 2013
Horizons Active Cdn Bond ETF Declares May 2013 Distribution, Payable on or About June 12, 2013
Horizons Active Cdn Bond ETF Declares April 2013 Distribution, Payable on or About May 10, 2013
Horizons Active Cdn Bond ETF Declares March 2013 Distributions, Payable on or About April 10, 2013
Horizons Active Cdn Bond ETF Announces February 2013 Distribution, Payable on or About March 12, 2013
Horizons Active Cdn Bond ETF Announces January 2013 Distribution, Payable on or About February 12, 2013
Horizons Active Cdn Bond ETF Declares Monthly Dividend of Class E Unit and Advisor Unit Payable on or About January 11, 2013
Horizons Active Cdn Bond ETF Announces Distribution on Class E Unit and Advisor Class Unit for the Period Ending November 30, 2012, Payable on or About December 12, 2012
Horizons Active Cdn Bond ETF Announces October 2012 Distribution on Class E Unit and Advisor Class Unit, Payable on or About November 9, 2012

Descrizione

Codice ISIN CA37892W1023
Spese di gestione (TER) 0.49%
Categoria di attività Fixed Income
Valuta
Società di gestione

Caratteristiche

Politica dei dividendi Distribution
Giurisdizione
Struttura del fondo
Data di creazione
11/10/2012
Rating di credito
Focus geografico

Distribuzione

Investitore individuale

Evoluzione AuM ( 31/05/2024 )

AuM (EUR) 26 M€
AuM 1 mese 26 M€
AuM 3 mesi 26 M€
AuM 6 mesi 24 M€
AuM 12 mesi 26 M€