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CI Conservative Asset Allocation ETF (CCNV.TO)

CI Conservative Asset Allocation ETF (CCNV.TO)
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Realtime quote and/or trades are not sourced from all markets.

Fund Basics

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  • Annual Dividend & Yield 0.47 (2.08%)
  • Most Recent Dividend 0.136 on 12/23/25
  • Management Fee 0.22%
  • Asset Class Portfolio-Multi Asset

Price Performance

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Period Period Low Period High Performance
1-Month
22.32 +1.70%
on 02/04/26
22.70 unch
on 02/23/26
+0.38 (+1.70%)
since 01/20/26
3-Month
22.18 +2.34%
on 12/09/25
22.70 unch
on 02/23/26
+0.49 (+2.21%)
since 11/20/25
52-Week
21.00 +8.10%
on 04/09/25
22.70 unch
on 02/23/26
+1.18 (+5.48%)
since 02/20/25

Most Recent Stories

More News
CI Global Asset Management Announces Confirmed Annual Reinvested Capital Gains Distributions for the CI ETFs

NOT FOR DISSEMINATION TO U.S. NEWSWIRE SERVICES OR FOR DISSEMINATION IN THE UNITED STATES OF AMERICA

CRED.TO : 20.30 (-0.25%)
CCNV.TO : 22.70 (+0.04%)
IQD-B.TO : 34.00 (-2.91%)
BTCX.TO : 5.81 (-0.85%)
CCBD.TO : 18.10 (-1.63%)
CGRB-U.TO : 22.45 (unch)
CRED-U.TO : 20.87 (+0.24%)
CVLU-B.TO : 28.95 (-0.45%)
FSB-U.TO : 10.09 (-0.49%)
RIT.TO : 17.50 (-0.68%)
CIC.TO : 16.01 (-0.99%)
CMCX.TO : 6.97 (-1.27%)
CI Global Asset Management Announces December 2025 Distributions for the CI ETFs

NOT FOR DISSEMINATION TO U.S. NEWSWIRE SERVICES OR FOR DISSEMINATION IN THE UNITED STATES OF AMERICA

CRED.TO : 20.30 (-0.25%)
CCNV.TO : 22.70 (+0.04%)
BTCX.TO : 5.81 (-0.85%)
CCBD.TO : 18.10 (-1.63%)
CIC.TO : 16.01 (-0.99%)
RIT.TO : 17.50 (-0.68%)
CMCX.TO : 6.97 (-1.27%)
CUDV.TO : 28.00 (+1.01%)
CIEM.TO : 26.70 (-5.05%)
CGHY.TO : 10.41 (+1.07%)
CMDO.TO : 20.17 (+0.05%)
CGRB.TO : 21.59 (-0.87%)
CI Global Asset Management Announces Estimated Annual Reinvested Capital Gains Distributions for the CI ETFs

NOT FOR DISSEMINATION TO U.S. NEWSWIRE SERVICES OR FOR DISSEMINATION IN THE UNITED STATES OF AMERICA

CRED.TO : 20.30 (-0.25%)
CCNV.TO : 22.70 (+0.04%)
IQD-B.TO : 34.00 (-2.91%)
BTCX.TO : 5.81 (-0.85%)
CCBD.TO : 18.10 (-1.63%)
CGRB-U.TO : 22.45 (unch)
CRED-U.TO : 20.87 (+0.24%)
CVLU-B.TO : 28.95 (-0.45%)
FSB-U.TO : 10.09 (-0.49%)
RIT.TO : 17.50 (-0.68%)
CIC.TO : 16.01 (-0.99%)
CMCX.TO : 6.97 (-1.27%)
CI Global Asset Management Announces September 2025 Distributions for the CI ETFs

NOT FOR DISSEMINATION TO U.S. NEWSWIRE SERVICES OR FOR DISSEMINATION IN THE UNITED STATES OF AMERICA

CRED.TO : 20.30 (-0.25%)
CCNV.TO : 22.70 (+0.04%)
IQD-B.TO : 34.00 (-2.91%)
CHCL-B.NE : 24.6000 (-1.44%)
CCBD.TO : 18.10 (-1.63%)
CIC.TO : 16.01 (-0.99%)
CVLU-B.TO : 28.95 (-0.45%)
RIT.TO : 17.50 (-0.68%)
CUDV.TO : 28.00 (+1.01%)
CIEM.TO : 26.70 (-5.05%)
CESG-B.NE : 30.5600 (-2.24%)
CGHY.TO : 10.41 (+1.07%)

Fund Summary

The CI Conservative Asset Allocation ETF seeks to provide income with a potential for modest capital appreciation by investing in ETFs that provide exposure to a portfolio of global fixed income and equity securities.

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Key Turning Points

3rd Resistance Point 22.70
2nd Resistance Point 22.70
1st Resistance Point 22.70
Last Price 22.70
1st Support Level 22.70
2nd Support Level 22.70
3rd Support Level 22.70

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52-Week High 22.70
Last Price 22.70
Fibonacci 61.8% 22.05
Fibonacci 50% 21.85
Fibonacci 38.2% 21.65
52-Week Low 21.00

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