Andere Sprachen Global X Active Ultra-Short Term Investment Grade Bond ETF - CAD

ETF

A1J6UH

CA37892V1040

HFR

Verzögert Toronto S.E. 17:36:09 10.06.2024 % 5 Tage % 1. Jan.
9,93 CAD 0,00 % Intraday Chart für Global X Active Ultra-Short Term Investment Grade Bond ETF - CAD +0,30 % +0,71 %
Horizons Active Ultra-Short Term Investment Grade Bond Etf Announces Monthly Cash Distribution for the Period Ending May 31, 2021, Payable on or About June 10, 2021
Horizons Active Ultra-Short Term Investment Grade Bond Etf Announces Monthly Cash Distribution for the Period Ending April 30, 2021, Payable on or About May 12, 2021
Horizons Active Ultra-Short Term Investment Grade Bond ETF Announces Monthly Cash Distribution for December 2020, Payable on or About January 13, 2021
Horizons Active Ultra-Short Term Investment Grade Bond ETF Announces Distribution for the Month Ending October 31, 2020, Payable on or About December 10, 2020
Horizons Active Ultra-Short Term Investment Grade Bond ETF Announces Distribution for the Month Ending October 31, 2020, Payable on or About November 12, 2020
Horizons Active Ultra-Short Term Investment Grade Bond ETF Announces the Distribution for the month Ending September 30, 2020, Payable on or About October 13, 2020
Horizons Active Ultra-Short Term Investment Grade Bond ETF Announces Cash Distribution for the Month Ending August 31, 2020, Payable on or About September 11, 2020
Horizons Active Ultra-Short Term Investment Grade Bond ETF Declares Monthly Distribution for the Period Ending July 31, 2020, Payable on or About August 13, 2020
Horizons Active Ultra-Short Term Investment Grade Bond Etf Declares Distribution for the Period Ending May 31, 2020, Payable on or About June 10, 2020
Horizons Active Ultra-Short Term Investment Grade Bond ETF Announces Cash Distribution for the Month Ending April 30, 2020, Payable on or About May 12, 2020
Horizons Active Ultra-Short Term Investment Grade Bond ETF Announces Monthly Cash Distribution for the Period Ending March 31, 2020, Payable on or About April 13, 2020
Horizons ETFs Announces February 2020 Distributions for Certain ETFs
Horizons ETFs Announces January 2020 Distributions for Certain Active ETFs
Horizons Active Floating Rate Bond Etf Announces Monthly Cash Distribution for the Period Ending January 2020, Payable on or About February 12, 2020
Horizons Active US Floating : ETFs Announces Name Changes to Two Short Term Fixed Income ETFs
Horizons Active Floating Rate Bond ETF has Changed its Name to Horizons Active Ultra-Short Term Investment Grade Bond ETF
Horizons ETFs announces December 2019 Distributions for certain ETFs
Horizons Active Floating Rate Bond ETF Announces Monthly Cash Distribution for the Period Ending December 2019, Payable on or About January 13, 2020
Horizons ETFS Announces November 2019 Distributions for Certain Active ETFs
Horizons Active Floating Rate Bond ETF Announces Monthly Cash Distribution for the Period Ending November 30, 2019, Payable on or About December 11, 2019
Horizons Active Floating Rate Bond ETF Announces Monthly Cash Distribution for the Period Ending October 31, 2019, Payable on or About November 13, 2019
Horizons Active Floating Rate Bond ETF Announces Monthly Cash Distribution for the Period Ending September 30, 2019, Payable on or About October 10, 2019
Horizons Active Floating Rate Bond Etf Announces Distribution for the Month Ending August 31, 2019, Payable on or About September 12, 2019
Horizons Active Floating Rate Bond ETF Announces Distribution for the Month Ending July 31, 2019, Payable on or About August 13, 2019
Horizons Active Floating Rate Bond ETF Announces Distribution for the Month Ending June 30, 2019
Horizons Active Floating Rate Bond ETF Announces May 2019 Distributions, Payable on or About June 12, 2019
Horizons Active Floating Rate Bond ETF Announces April 2019 Distributions, Payable on or about May 10, 2019
Horizons ETFs Management Inc. Announces Distribution for Horizons Active Floating Rate Bond ETF for the Month Ending March 31, 2019, Payable on or About April 10, 2019
Horizons Active Floating Rate Bond ETF Announces February 2019 Distributions, Payable on or about March 12, 2019
Horizons Active Floating Rate Bond ETF Announces January 2019 Distributions, Payable on or About February 12, 2019
Horizons Active Floating Rate Bond ETF Announces Monthly Distributions, Payable on or About January 11, 2019
Horizons Active Floating Rate Bond ETF Announces Dividend for the Month Ending November 30, 2018, Payable on or About December 12, 2018
Horizons Active Floating Rate Bond ETF Announces Dividend for the Month Ending October 31, 2018, Payable on or About November 13, 2018
Horizons Active Floating Rate Bond ETF Announces Dividend for the Month Ending September 30, 2018, Payable on or About October 11, 2018
Horizons Active Floating Rate Bond ETF Announces Dividend for the Month Ending August 31, 2018
Horizons Active Floating Rate Bond ETF Announces Distribution for the Month Ending July 31, 2018, Payable on or About August 13, 2018
Horizons Active Floating Rate Bond ETF Announces Distribution for the Month Ending June 30, 2018, Payable on or About July 12, 2018
Horizons Active Floating Rate Bond ETF Announces Distribution for the Month Ending May 31, 2018, Payable on or about June 12, 2018
Horizons Active Floating Rate Bond ETF Announces Distribution for the Month Ending April 30, 2018, Payable on or About May 10, 2018
Horizons Active Floating Rate Bond ETF Announces Distribution for the Month Ending March 31, 2018, Payable on or About April 11, 2018
Horizons Active Floating Rate Bond ETF Announces Distribution for the Month Ending February 28, 2018, Payable on or About March 12, 2018
Horizons Active Floating Rate Bond ETF Announces Distribution for the Month Ending January 31, 2018, Payable on or About February 12, 2018
Horizons Active Floating Rate Bond ETF Announces Distribution for the Month of December 2017, Payable on or About January 11, 2018
Horizons Active Floating Rate Bond ETF Announces Distribution for the Period Ending November 30, 2017
Horizons Active Floating Rate Bond ETF Declares Monthly Distribution for the Period Ending September 30, 2017, Payable on or About October 12, 2017

Beschreibung

ISIN Code CA37892V1040
Verwaltungsgebühren 0.47%
Anlageklassen
Währung
Fondsgesellschaft

Merkmale

Gerichtsstand
Erstellungsdatum
08.12.2010
Dividenden-Politik
Kredit-Rating
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 267 M€
Volumen 1M 271 M€
Volumen 3M 280 M€
Volumen 6M 282 M€
Volumen 12M 272 M€
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