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ZDV.TO - BMO Canadian Dividen...

Financial Summary of BMO Canadian Dividend ETF(ZDV.TO), The fund seeks income generation and long-term capital growth by using a dividend strategy on the Ca

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BMO Canadian Dividend ETF

ZDV.TO

TSX

The fund seeks income generation and long-term capital growth by using a dividend strategy on the Canadian equity market. It seeks to identify high yielding dividend equities, while screening for dividend sustainability and historical growth. A proprietary, rules-based methodology is applied on large-, mid-, and small-cap Canadian dividend payers. Eligible securities are screened for positive 3-year dividend growth rate and dividend payout sustainability, and then ranked by dividend yield. The top 50 yielding companies that pass both screens make up the portfolio. The resulting portfolio is weighted by yield, subject to a 35% sector cap and a 10% single security cap. The portfolio is rebalanced and reconstituted annually in June and December, respectively.

19.87 CAD

0.06 (0.302%)

About

ceo

N/A

sector

Financial Services

industry

Asset Management

website

N/A

exchange

TSX

Description

The fund seeks income generation and long-term capital growth by using a dividend strategy on the Canadian equity market. It seeks to identify high yielding dividend equities, while screening for dividend sustainability and historical growth. A proprietary, rules-based methodology is applied on large-, mid-, and small-cap Canadian dividend payers. Eligible securities are screened for positive 3-year dividend growth rate and dividend payout sustainability, and then ranked by dividend yield. The top 50 yielding companies that pass both screens make up the portfolio. The resulting portfolio is weighted by yield, subject to a 35% sector cap and a 10% single security cap. The portfolio is rebalan...

CIK

N/A

ISIN

CA05590R1055

CUSIP

N/A

Address

N/A

Phone

NA

Country

CA

Employee

N/A

IPO Date

Jan 24, 2012

Summary

ISIN

CA05590R1055

Exchange

TSX

Beta

0.92

Market Cap

1.01B

52-Week

17.42-20.4

Volume Avg.

41.63k

Price

19.87

Country

CA

Management Assets

-

Total Holdings

-

NAV

-

NAV Currency

-

Historical Prices

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Sector Weightings

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Country Weightings

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Financial Statement

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Earnings

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Upgrades and Downgrades

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