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Purpose Strategic Yield Fund (SYLD.TO)

Purpose Strategic Yield Fund (SYLD.TO)
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Overview

Name Purpose Strategic Yield Fund ETF
Fund Family Purpose Investments Inc.
Underlying Index N/A
Inception Date 04/05/18
First Trade Date 04/09/18
Leverage Long
Asset Class Fixed Income

Description:

The Purpose Strategic Yield Fund ETF's investment objective is to seek to provide investors with a high yield by investing primarily in, or obtaining exposure primarily to, fixed income securities of corporate issuers located in Canada or the United States. Investments in fixed income securities generally will be below investment grade. *Formerly Redwood Strategic Yield Fund.

Investment Information

60-Month Beta 0.06
Standard Deviation -0.25
Shares Outstanding, K 4,025.00
Managed Assets, $K 73,295.20 K
Net Asset Value 18.26
First Trade Price 20.11
Management Fee 0.80%
Options No
Latest Dividend 0.097
Last Dividend Date 03/25/24
Annual Dividend 1.16
Annual Dividend Yield 6.39%
1-Year Return 1.73%
3-Year Return -13.36%
5-Year Return -5.05%
RRSP Eligible Yes

SYLD.TO Dividends

Date Value
03/25/24 $0.0970
02/26/24 $0.0970
01/26/24 $0.0970
12/22/23 $0.0970
11/27/23 $0.0970
10/26/23 $0.0970
09/26/23 $0.0970
08/28/23 $0.0970
07/26/23 $0.0970
06/27/23 $0.0970
05/26/23 $0.0970
04/25/23 $0.0970
03/28/23 $0.0970
02/23/23 $0.0970
01/26/23 $0.0970
12/23/22 $0.0970
11/25/22 $0.0970
10/26/22 $0.0970
09/27/22 $0.0970
08/26/22 $0.0970
07/26/22 $0.0970
06/27/22 $0.0970
05/26/22 $0.0970
04/26/22 $0.0970
03/28/22 $0.0970
02/23/22 $0.0970
01/26/22 $0.0970
12/24/21 $0.0970
11/25/21 $0.0970
10/26/21 $0.0970
09/24/21 $0.0970
08/26/21 $0.0970
07/27/21 $0.0970
06/25/21 $0.0970
05/26/21 $0.0970
04/27/21 $0.0970
03/26/21 $0.0970
02/23/21 $0.0970
01/26/21 $0.0970
12/24/20 $0.0970
11/24/20 $0.0970
10/27/20 $0.0970
09/25/20 $0.0970
08/26/20 $0.0970
07/28/20 $0.0970
06/25/20 $0.0970
05/26/20 $0.0970
04/27/20 $0.0970
03/26/20 $0.0970
02/25/20 $0.0970
01/28/20 $0.0970
12/24/19 $0.0970
11/26/19 $0.0970
10/28/19 $0.0970
09/25/19 $0.0970
08/27/19 $0.0970
07/26/19 $0.0970
06/25/19 $0.0970
05/28/19 $0.0970
04/25/19 $0.0970
03/26/19 $0.0970
02/25/19 $0.0970
01/28/19 $0.0970
12/24/18 $0.0970
11/27/18 $0.0970
10/26/18 $0.0970
09/25/18 $0.0970
08/28/18 $0.0970
07/26/18 $0.0970
06/26/18 $0.0970
05/28/18 $0.0970
04/27/18 $0.0970
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