EXPENSE RATIO As of— TOTAL ASSETS $1.8T As of11/30/2024 SHARE CLASS ASSETS $98.8B As of11/30/2024 YTD RETURN 23.75% As of12/31/2024 BENCHMARK CRSP U.S. Total Market Index Overview Performance & Price Fees & Costs Portfolio Yield & Distribution Fund literature...
YTD Return 33.2% 1 yr return 39.4% 3 Yr Avg Return 2.9% 5 Yr Avg Return 19.0% Net Assets $5.34 B Holdings in Top 10 51.8% 52 WEEK LOW AND HIGH $70.6 N/A N/A Expenses OPERATING FEES Expense Ratio 1.21% SALES FEES Front Load N/A Deferred Load N/A TRADING FEES...
Total Return (%)29.9910.6012.029.188.11 Benchmark (%)30.3310.8212.199.368.30 Key Facts Net Assets as of Dec 30, 2024 CAD 16,304,377,972 Exchange Toronto Stock Exchange Benchmark Index S&P/TSX 60 Index CUSIP 46428D108 Number of Holdings ...
So far in 2024 we see an average return of about 4.61%. If we include the 6% dividend yield, we’re looking at a total return for the year of about 10.61%. That’s not too bad, but with the overall TSX 60 currently setting at about a 17% YTD return, it’s not great either. ...
So far in 2024 we see an average return of about 4.61%. If we include the 6% dividend yield, we’re looking at a total return for the year of about 10.61%. That’s not too bad, but with the overall TSX 60 currently setting at about a 17% YTD return, it’s not great either. ...
Benchmark Index MSCI ACWI Information Technology 10/40 (2013) Index Morningstar Category Technology CUSIP 091929620 Open to New Investors Yes Size of Class (Millions) as of Jan 03, 2025 $57.2 M Asset Class Equity Distribution Frequency
A digital fund that tracks an index designed to measure the performance of obligations of the U.S. Treasury with maturities between 3 and 7 years.
While the Dogs of the TSX investments finished 2024 a little over 3% behind the overall TSX 60 index, if we go back to 2022, the 3-yr performance favours the BTTSX stocks by over 5% annually. If we go back even further, we can see that over the last three decades, the Dogs of th...
ETF Price & Overview Follow1 follower $9.980.01(+0.10%)12/20/24 Mutual Fund |$USD |NAV Summary Holdings Ratings Momentum Dividends Peers Charting Charts 5D 1M 6M YTD 1Y 5Y 10Y MAX +3.74% Voya International High Dividend Low Volatility Portfolio S price and volume ...
1D 5D 1M 6M YTD 1Y 5Y 10Y MAX Basic Advanced Chart Combination chart with 2 data series. View as data table, Chart The chart has 2 X axes displaying Time, and Time. The chart has 2 Y axes displaying symbol price, and symbol volume. End of interactive chart. Chart is not available...