Noticias CI First Asset Canadian REIT ETF - CAD

ETF

CFATF

CA12554R1055

Diferido OTC Markets Varia. Cinco días. Varia. 1 de enero.
- USD -.--% Gráfico intradía de CI First Asset Canadian REIT ETF - CAD -.--% -.--%
Más noticias
CI Canadian REIT ETF Reports Earnings Results for the Full Year Ended December 31, 2023
CI Canadian REIT ETF Reports Earnings Results for the Half Year Ended June 30, 2023
CI Canadian REIT ETF Reports Earnings Results for the Full Year Ended December 31, 2022
CI Canadian REIT ETF Reports Earnings Results for the Half Year Ended June 30, 2022
CI Canadian REIT ETF Reports Earnings Results for the Full Year Ended December 31, 2021
Ci Canadian Reit Etf Reports Earnings Results for the Half Year Ended June 30, 2021
Ci First Asset Canadian Reit Etf Reports Earnings Results for the Full Year Ended December 31, 2020
CI First Asset Canadian REIT ETF Announces Regular Cash Distribution for the Month Ending December 31, 2020, Payable on or Before December 31, 2020
CI First Asset Canadian REIT ETF : Les détenteurs de titres approuvent les frais d’administration fixes de 19 FNB de Gestion mondiale d’actifs CI
CI First Asset Canadian REIT ETF Announces Regular Cash Distribution for the Month Ending November 30, 2020, Payable on or Before November 30, 2020
First Asset REIT Income Fund Announces Targeted Annualized Distribution Amounts for Upcoming 12-Month Period Ending November 30, 2021
CI Investments Inc :. Announces October 2020 Distributions for CI ETFs
CI First Asset Canadian REIT ETF Announces Regular Cash Distribution for the Month Ending October 31, 2020, Payable on or Before October 30, 2020
CI First Asset Canadian REIT ETF : Investments proposes fixed administration fees for 19 ETFs, increasing the transparency and predictability of costs for investors Risk rating changes also announced for six ETFs
CI First Asset Canadian REIT ETF Announces Regular Cash Distribution for the Month or Quarter Ending September 30, 2020, Payable on or Before September 30, 2020
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Descripción

Código ISIN CA12554R1055
Ratio de gastos total 0.87%
Tipos de activos
Sector
Tamaño
Moneda
Proveedor

Características

Jurisdicción
Estructura del fondo
Fecha de creación
12/11/2004
Política de dividendos
Enfoque geográfico

Distribución

Inversor particular

Evolución del AuM ( 31/05/2024 )

AuM (EUR) 306 M€
AuM 1M 311 M€
AuM 3 meses 340 M€
AuM 6 meses 329 M€
AuM 12 meses 392 M€
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