Previous Close | 14.10 |
Open | 14.12 |
Bid | 14.09 x N/A |
Ask | 14.13 x N/A |
Day's Range | 14.12 - 14.12 |
52 Week Range | 13.12 - 14.62 |
Volume | |
Avg. Volume | 3,080 |
Net Assets | 11.33M |
NAV | 14.01 |
PE Ratio (TTM) | 14.54 |
Yield | 3.56% |
YTD Daily Total Return | 5.84% |
Beta (5Y Monthly) | 0.00 |
Expense Ratio (net) | 0.00% |
Inception Date | 2020-08-11 |
TD Asset Management Inc. ("TDAM") today announced the September cash distributions for the TD Exchange-Traded Funds (each, a "TD ETF" and collectively, the "TD ETFs") listed below. Unitholders of record as at September 28, 2023 will receive a cash distribution per unit of the applicable TD ETF that will be payable on October 5, 2023, as indicated below:
TD Asset Management Inc. ("TDAM"), the manager of the TD One-Click Suite of Exchange-Traded Funds (individually a "TD ETF", and collectively, the "TD ETFs"), today initiated changes to streamline the TD ETFs. The changes, announced July 28, 2023, include modifications to the composition of the TD ETFs, names and ticker symbols, and a reduction in the management fees. The TD ETFs identified below now trade under their new ticker symbols and offer one of the lowest management fees for all-in-one E
TD Asset Management Inc. ("TDAM"), the manager of the TD One-Click Suite of Exchange-Traded Funds (individually a "TD ETF", and collectively, the "TD ETFs"), today announced a plan to simplify the suite of TD ETFs including modifications to the composition of the TD ETF portfolios, names and ticker symbol changes, and a reduction in the management fees. All of the changes described below will be effective on or about August 31, 2023.