Previous Close | 33.65 |
Open | 33.58 |
Bid | 33.77 x N/A |
Ask | 33.80 x N/A |
Day's Range | 33.58 - 33.58 |
52 Week Range | 27.47 - 35.60 |
Volume | |
Avg. Volume | 360 |
Net Assets | 19.01M |
NAV | 33.67 |
PE Ratio (TTM) | 27.56 |
Yield | 0.36% |
YTD Daily Total Return | 12.16% |
Beta (5Y Monthly) | 0.00 |
Expense Ratio (net) | 0.00% |
Inception Date | 2021-01-28 |
National Bank Investments Inc. (‟NBI") announced today the September 2023 cash distribution amounts per unit for certain NBI exchange-traded funds (‟NBI ETFs").
National Bank Investments Inc. (‟NBI") announced today the June 2023 cash distribution amounts per unit for certain NBI exchange-traded funds (‟NBI ETFs").
National Bank Investments Inc. (‟NBI") announced today revised annual reinvested capital gains and/or net income distribution amounts (the "reinvested distributions") to be paid for 2022 to unitholders of NBI exchange-traded funds (the "NBI ETFs"). Please be advised that the reinvested distributions announced in this press release replace those stated in the December 20, 2022, press release, unless otherwise noted. The ex-dividend, record, and payable dates for the distributions remain unchanged