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GX Active Ultra-Short Term Invt Grade Bond ETF (HFR.TO)

GX Active Ultra-Short Term Invt Grade Bond ETF (HFR.TO)
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Overview

Name Global X Active Ultra-Short Term Investment Grade Bond ETF
Fund Family Global X Mgt
Underlying Index N/A
Inception Date 12/10/10
First Trade Date 12/13/10
Leverage Long
Asset Class Fixed Income
Management Type Active Management

Description:

The Global X Active Ultra-Short Term Investment Grade Bond ETF seeks to generate income that is consistent with prevailing Canadian short term corporate bond yields while reducing the potential effects of Canadian interest rate fluctuations on HFR. HFR invests primarily in a portfolio of Canadian debt (including debt-like securities) directly, and hedges the portfolio's interest rate risk by maintaining a portfolio duration that is not more than one year. HFR may also invest directly in debt of U.S. companies, as well as indirectly through investments in securities of Listed Funds. HFR uses derivatives, including interest rate swaps, to deliver a floating rate of income.

Investment Information

60-Month Beta 0.33
Standard Deviation unch
Managed Assets, $K 0.00 K
Net Asset Value 9.91
First Trade Price 10.03
Management Fee 0.40%
Options No
Latest Dividend 0.041
Last Dividend Date 04/29/24
Annual Dividend 0.55
Annual Dividend Yield 5.53%
1-Year Return 1.23%
3-Year Return -2.47%
5-Year Return -1.69%
Management Expense Ratio 0.46%
RRSP Eligible Yes

HFR.TO Dividends

Date Value
04/29/24 $0.0410
03/27/24 $0.0420
02/28/24 $0.0420
01/30/24 $0.0420
12/28/23 $0.0475
11/29/23 $0.0475
10/30/23 $0.0480
09/28/23 $0.0490
08/30/23 $0.0490
07/28/23 $0.0490
06/29/23 $0.0447
05/30/23 $0.0447
04/27/23 $0.0447
03/30/23 $0.0450
02/27/23 $0.0450
01/30/23 $0.0450
12/29/22 $0.0423
11/29/22 $0.0423
10/28/22 $0.0423
09/28/22 $0.0423
08/30/22 $0.0363
07/28/22 $0.0266
06/29/22 $0.0198
05/30/22 $0.0198
04/28/22 $0.0198
03/30/22 $0.0136
02/25/22 $0.0116
01/28/22 $0.0116
12/30/21 $0.0124
11/29/21 $0.0092
10/28/21 $0.0092
09/28/21 $0.0095
08/30/21 $0.0095
07/29/21 $0.0095
06/29/21 $0.0097
05/28/21 $0.0097
04/29/21 $0.0097
03/30/21 $0.0101
02/25/21 $0.0109
01/28/21 $0.0210
12/30/20 $0.0210
11/27/20 $0.0210
10/29/20 $0.0210
09/29/20 $0.0213
08/28/20 $0.0213
07/30/20 $0.0213
06/29/20 $0.0246
05/28/20 $0.0246
04/29/20 $0.0246
03/30/20 $0.0283
02/27/20 $0.0218
01/30/20 $0.0218
12/30/19 $0.0253
11/28/19 $0.0224
10/30/19 $0.0214
09/27/19 $0.0209
08/29/19 $0.0209
07/30/19 $0.0209
06/27/19 $0.0216
05/30/19 $0.0216
04/29/19 $0.0216
03/28/19 $0.0221
02/27/19 $0.0221
01/30/19 $0.0221
12/28/18 $0.0205
11/29/18 $0.0205
10/30/18 $0.0205
09/27/18 $0.0188
08/30/18 $0.0188
07/30/18 $0.0188
06/28/18 $0.0192
05/30/18 $0.0192
04/27/18 $0.0192
03/28/18 $0.0191
02/27/18 $0.0191
01/30/18 $0.0191
12/28/17 $0.0194
11/29/17 $0.0194
10/30/17 $0.0194
09/28/17 $0.0169
08/29/17 $0.0169
07/27/17 $0.0169
06/28/17 $0.0169
05/29/17 $0.0169
04/25/17 $0.0169
03/29/17 $0.0178
02/24/17 $0.0178
01/27/17 $0.0178
12/28/16 $0.0180
11/28/16 $0.0176
10/27/16 $0.0176
09/28/16 $0.0170
08/29/16 $0.0170
07/27/16 $0.0170
06/28/16 $0.0155
05/27/16 $0.0155
04/27/16 $0.0155
03/29/16 $0.0155
02/25/16 $0.0155
01/27/16 $0.0155
12/29/15 $0.0186
11/26/15 $0.0186
10/28/15 $0.0186
09/28/15 $0.0163
08/27/15 $0.0163
07/29/15 $0.0163
06/26/15 $0.0170
05/27/15 $0.0170
04/28/15 $0.0170
03/27/15 $0.0187
02/25/15 $0.0187
01/28/15 $0.0187
12/29/14 $0.0181
11/26/14 $0.0180
10/29/14 $0.0180
09/26/14 $0.0180
08/27/14 $0.0185
07/29/14 $0.0185
06/26/14 $0.0185
05/28/14 $0.0185
04/28/14 $0.0185
03/27/14 $0.0181
02/26/14 $0.0181
01/29/14 $0.0181
12/27/13 $0.0202
11/27/13 $0.0202
10/29/13 $0.0202
09/26/13 $0.0204
08/28/13 $0.0204
07/29/13 $0.0204
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