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BMO Ultra Short Term US Bond ETF USD (ZUS-U.TO)

BMO Ultra Short Term US Bond ETF USD (ZUS-U.TO)
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Overview

Name BMO Ultra Short-Term US Bond ETF (USD)
Fund Family BMO Investments Inc.
Underlying Index N/A
Inception Date 02/15/19
First Trade Date 02/15/19
Leverage Long
Asset Class Fixed Income

Description:

The BMO Ultra Short-Term US Bond ETF has been designed to provide exposure to a diversified mix of short-term U.S. fixed income asset classes, with a term to maturity of less than one year or reset dates within one year. The Fund currently invests in U.S. investment grade corporate bonds, and has the ability to add exposure to government bonds, high yield bonds, floating rate notes, and preferred shares. The portfolio is re-balanced based on the portfolio manager%u2019s fundamental analysis, relative strength indicators, and risk adjusted yield expectations.

Investment Information

60-Month Beta 0.03
Standard Deviation +0.39
Managed Assets, $K 17,791.20 K
Net Asset Value 46.90
First Trade Price 50.01
Management Fee 0.15%
Options No
Latest Dividend 0.205
Last Dividend Date 08/29/24
Annual Dividend 2.46
Annual Dividend Yield 5.24%
1-Year Return 0.43%
3-Year Return -2.23%
5-Year Return -5.72%
RRSP Eligible No

ZUS-U.TO Dividends

Date Value
08/29/24 $0.2050
07/30/24 $0.2050
06/27/24 $0.2050
05/30/24 $0.2050
04/26/24 $0.2050
03/27/24 $0.2050
02/27/24 $0.2050
01/29/24 $0.2050
12/27/23 $0.2050
11/28/23 $0.2050
10/27/23 $0.2050
09/27/23 $0.2050
08/29/23 $0.1900
07/27/23 $0.1900
06/28/23 $0.1900
05/30/23 $0.1900
04/26/23 $0.2100
03/29/23 $0.2100
02/24/23 $0.2100
01/27/23 $0.2100
12/28/22 $0.2000
11/28/22 $0.2000
10/27/22 $0.1600
09/28/22 $0.1500
08/29/22 $0.0900
07/27/22 $0.0900
06/28/22 $0.0900
05/27/22 $0.0600
04/27/22 $0.0600
03/29/22 $0.0600
02/24/22 $0.0700
01/27/22 $0.0700
12/29/21 $0.0800
11/26/21 $0.0800
10/27/21 $0.0800
09/28/21 $0.0800
08/27/21 $0.0900
07/28/21 $0.0900
06/28/21 $0.0900
05/26/21 $0.1000
04/28/21 $0.1000
03/29/21 $0.1000
02/24/21 $0.1000
01/27/21 $0.1000
12/29/20 $0.1000
11/27/20 $0.1000
10/28/20 $0.1000
09/28/20 $0.1000
08/27/20 $0.1000
07/29/20 $0.1000
06/26/20 $0.1000
05/27/20 $0.1000
04/28/20 $0.1000
03/27/20 $0.1200
02/26/20 $0.1300
01/29/20 $0.1200
12/27/19 $0.1300
11/27/19 $0.1300
10/29/19 $0.1300
09/26/19 $0.1300
08/28/19 $0.1300
07/29/19 $0.1300
06/26/19 $0.1300
05/29/19 $0.1300
04/26/19 $0.1300
03/27/19 $0.1300
02/26/19 $0.1250
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