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BMO Short Federal Bond Index ETF (ZFS.TO)

BMO Short Federal Bond Index ETF (ZFS.TO)
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Overview

Name BMO Short Federal Bond Index ETF
Fund Family BMO Investments Inc.
Underlying Index FTSE TMX Canada Short Term Federal Bond Index
Inception Date 10/20/09
First Trade Date 10/26/09
Leverage Long
Asset Class Fixed Income
Management Type Index or Index-Based

Description:

The BMO Short Federal Bond Index ETF has been designed to replicate, to the extent possible, the performance of the FTSE TMX Canada Short Term Federal Bond Index, net of expenses. The Fund invests in a variety of debt securities primarily with a term to maturity between one and five years. Securities held in the Index are generally issued or guaranteed by the Government of Canada, by various agencies of the Government of Canada, and by various instrumentalities that have been established or sponsored by the Government of Canada.

Investment Information

60-Month Beta 0.98
Standard Deviation -1.40
Managed Assets, $K 357,901.91 K
Net Asset Value 13.35
First Trade Price 15.03
Management Fee 0.20%
Options No
Latest Dividend 0.022
Last Dividend Date 04/26/24
Annual Dividend 0.26
Annual Dividend Yield 1.98%
1-Year Return -0.52%
3-Year Return -7.10%
5-Year Return -6.38%
Management Expense Ratio 0.23%
RRSP Eligible Yes

ZFS.TO Dividends

Date Value
04/26/24 $0.0220
03/27/24 $0.0220
02/27/24 $0.0220
01/29/24 $0.0220
12/27/23 $0.0220
11/28/23 $0.0220
10/27/23 $0.0220
09/27/23 $0.0220
08/29/23 $0.0220
07/27/23 $0.0220
06/28/23 $0.0220
05/30/23 $0.0220
04/26/23 $0.0220
03/29/23 $0.0220
02/24/23 $0.0220
01/27/23 $0.0220
12/28/22 $0.0220
11/28/22 $0.0220
10/27/22 $0.0220
09/28/22 $0.0220
08/29/22 $0.0220
07/27/22 $0.0220
06/28/22 $0.0220
05/27/22 $0.0220
04/27/22 $0.0220
03/29/22 $0.0220
02/24/22 $0.0220
01/27/22 $0.0220
12/29/21 $0.0220
11/26/21 $0.0220
10/27/21 $0.0220
09/28/21 $0.0220
08/27/21 $0.0220
07/28/21 $0.0220
06/28/21 $0.0220
05/26/21 $0.0220
04/28/21 $0.0220
03/29/21 $0.0220
02/24/21 $0.0220
01/27/21 $0.0220
12/29/20 $0.0220
11/27/20 $0.0220
10/28/20 $0.0220
09/28/20 $0.0220
08/27/20 $0.0220
07/29/20 $0.0220
06/26/20 $0.0220
05/27/20 $0.0220
04/28/20 $0.0220
03/27/20 $0.0220
02/26/20 $0.0220
01/29/20 $0.0220
12/27/19 $0.0220
11/27/19 $0.0220
10/29/19 $0.0220
09/26/19 $0.0220
08/28/19 $0.0220
07/29/19 $0.0220
06/26/19 $0.0220
05/29/19 $0.0220
04/26/19 $0.0220
03/27/19 $0.0220
02/26/19 $0.0220
01/30/19 $0.0220
12/27/18 $0.0270
11/28/18 $0.0180
10/29/18 $0.0180
09/26/18 $0.0180
08/29/18 $0.0180
07/27/18 $0.0180
06/27/18 $0.0180
05/29/18 $0.0180
04/26/18 $0.0180
03/27/18 $0.0180
02/26/18 $0.0180
01/29/18 $0.0180
12/27/17 $0.0180
11/28/17 $0.0180
10/27/17 $0.0180
09/27/17 $0.0180
08/28/17 $0.0180
07/26/17 $0.0180
06/27/17 $0.0180
05/26/17 $0.0200
04/25/17 $0.0200
03/28/17 $0.0200
02/23/17 $0.0200
01/26/17 $0.0200
12/23/16 $0.0200
11/25/16 $0.0200
10/26/16 $0.0200
09/27/16 $0.0200
08/26/16 $0.0220
07/26/16 $0.0220
06/27/16 $0.0220
05/24/16 $0.0220
04/26/16 $0.0220
03/28/16 $0.0220
02/24/16 $0.0220
01/26/16 $0.0220
12/24/15 $0.0250
11/25/15 $0.0210
10/27/15 $0.0210
09/25/15 $0.0210
08/26/15 $0.0240
07/28/15 $0.0240
06/25/15 $0.0240
05/26/15 $0.0240
04/27/15 $0.0240
03/26/15 $0.0240
02/24/15 $0.0240
01/27/15 $0.0240
12/24/14 $0.0250
11/24/14 $0.0250
10/28/14 $0.0250
09/25/14 $0.0250
08/26/14 $0.0270
07/28/14 $0.0270
06/25/14 $0.0270
05/27/14 $0.0270
04/25/14 $0.0270
03/26/14 $0.0270
02/25/14 $0.0270
01/28/14 $0.0270
12/24/13 $0.0350
11/26/13 $0.0270
10/28/13 $0.0270
09/25/13 $0.0270
08/27/13 $0.0270
07/26/13 $0.0270
02/23/11 $0.0420
01/26/11 $0.0420
12/24/10 $0.1210
09/27/10 $0.1300
06/25/10 $0.1300
03/26/10 $0.1160
12/24/09 $0.0720
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