TD Q Canadian Dividend ETF
(TQCD:TSX)

Close

$11.62

Change

$0.00 (0.00%)

Open

$11.59

Day High

$11.62

Day Low

$11.59

Volume

309

As at 09-25-2020
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TD Q Canadian Dividend ETF

Compare to:

Inception Return
(11-26-2019)

-17.43%

Assets ($mil)

$9

NAVPS
(09-25-2020)

$11.75
$0.13 (1.08%)

MER

0.39%

YTD Return

-20.00%

1 Yr Return

-

52 Week Low

$8.55

52 Week High

$16.04

Annual Dividend

$0.58

Annual Yield

-

Index

-

Shares Outstanding

-

Registered Plan Eligible

Yes

CIFSC Category

Canadian Div & Inc Equity

Share Class

Do-It-Yourself

Fund Details

Classification

Exchange Traded Fund

Legal Status

Trust

Sales Status

Open

Currency

CAD

Start Date

November 26, 2019

Distribution Frequency

Monthly

Investment Objectives

TD Q Canadian Dividend ETF seeks to earn income and moderate capital growth by using a quantitative approach to security selection to invest primarily in, or gain exposure to, dividend-paying equity securities and other income-producing instruments of Canadian issuers.

Investment Strategy

The portfolio adviser seeks to achieve the fundamental investment objective of TD Q Canadian Dividend ETF by investing primarily in a diversified portfolio of income-producing securities of Canadian issuers, which may include, but is not limited to, dividend-paying common and preferred shares and real estate investment trusts (REITs). The TD ETF may also invest in other exchange-traded funds.

Portfolio Manager

Julien Palardy
11-26-2019

Dino Vevaina
11-26-2019

Fees

MER

0.39%

Management Fee

0.39%

ETF Characteristics

Exposure

1x performance

Asset Class High

-

Asset Class Medium

-

Asset Class Low

-

Leveraged

-

Inverse

-

Advisor Series

-

Covered Call Strategy

No

Management and Organization

Fund Manager

Dino Vevaina, Julien Palardy

Advisor

TD Asset Management Inc.

Custodian

CIBC Mellon Trust Company

Registrar

AST Trust Company

Distributor

-

Auditor

PriceWaterhouseCoopers LLP

As at August 31, 2020

Inception Return
(11-26-2019)

-17.43%

YTD Return

-20.00%

NAVPS (09-25-2020)

$11.75

Best Month

5.16%

Worst Month

-25.85%

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