Previous Close | 21.62 |
Open | 21.78 |
Bid | 21.34 x N/A |
Ask | 21.99 x N/A |
Day's Range | 21.78 - 21.78 |
52 Week Range | 21.49 - 25.53 |
Volume | |
Avg. Volume | 518 |
Net Assets | 2.9M |
NAV | 21.62 |
PE Ratio (TTM) | 9.90 |
Yield | 7.23% |
YTD Daily Total Return | -0.50% |
Beta (5Y Monthly) | 0.00 |
Expense Ratio (net) | 0.00% |
Inception Date | 2019-05-03 |
Accelerate Financial Technologies Inc., ("Accelerate") today announced the March 2023, quarterly cash distributions for Accelerate Exchange Traded Funds ("Accelerate Funds"), summarized below, that are listed on the Toronto Stock Exchange ('TSX"). The ex-dividend date for the distributions will be March 30, 2023, for all unitholders of record of the Accelerate Funds on March 31, 2023. Unitholders will receive cash distributions payable on April 7, 2023.
Accelerate Financial Technologies Inc., ("Accelerate") today announced annual share distributions for Accelerate Exchange Traded Funds ("Accelerate Funds"), summarized below, that are listed on the Toronto Stock Exchange ('TSX"). The ex-dividend date for the annual 2022 distributions was December 29, 2022, for all unitholders of record of the Accelerate Funds on December 30, 2022. Unitholders will receive share distributions reinvested on January 9, 2023.
Accelerate Financial Technologies Inc., ("Accelerate") today announced the estimated December 2022, annual share distributions for Accelerate Exchange Traded Funds ("Accelerate Funds"), summarized below, that are listed on the Toronto Stock Exchange ('TSX"). The ex-dividend date for the annual 2022 distributions will be December 29, 2022, for all unitholders of record of the Accelerate Funds on December 30, 2022. Unitholders will receive share distributions payable on January 9, 2023.
Accelerate Financial Technologies Inc., ("Accelerate") today announced the September 2022, quarterly cash distributions for Accelerate Exchange Traded Funds ("Accelerate Funds"), summarized below, that are listed on the Toronto Stock Exchange ('TSX"). Please note that September 30, 2022, is a federal holiday, therefore the record date will be September 29, 2022, and ex-dividend date will be September 28, 2022.