Search
Generic filters
Search in excerpt

Un FNB pour chaque investisseur.

HSAV

FNB Horizons Compte maximiseur d’espèces

Prix
$103.61
$-0.19
-0.18%
Valeur liquidative
$103.3505
$0.0115
0.01%

Indices

Catégorie de Société - Rendement Total

Aperçu du FNB
En savoir plus sur HSAV

QQCC

FNB Horizons Options d’achat couvertes NASDAQ-100

Prix
$9.89
$0.33
3.45%
Valeur liquidative
$9.8753
$0.2847
2.97%

Active

Options D'achat Couvertes

Aperçu du FNB
En savoir plus sur QQCC

HAC

FNB Horizons à rotation saisonnière

Prix
$26.03
$0.25
0.97%
Valeur liquidative
$25.6874
$0.0576
0.22%

Active

Stratégique

Aperçu du FNB
En savoir plus sur HAC
Explorer tous les produits
Search
Generic filters
Search in excerpt
Retour à Médias

Horizons Announces March 2017 Distributions for its Covered Call ETFs

TORONTO – March 23, 2017 – Horizons ETFs Management (Canada) Inc. and its affiliate AlphaPro Management Inc. (collectively “Horizons ETFs”) are pleased to announce the distribution amounts per unit (the “Distributions”) for the Horizons ETFs suite of covered call exchange traded funds (the “ETFs”), for the period ending March 31, 2017, as indicated in the table below.

The ex-dividend date for the Distributions is anticipated to be March 29, 2017, for all unitholders of record on March 31, 2017. All Distributions for Advisor Class units (ticker symbols are denoted as ‘.A’ and ‘.V’ in the table below) will be paid in cash. The Distributions for Class E units of each ETF will be paid in cash, or if the unitholder has enrolled in the respective ETF’s dividend reinvestment plan (DRIP), reinvested in additional Class E units of the applicable ETF, on or about April 12, 2017.

Ticker Symbol Current Month
Distribution Rate
NAVChange from
Prior Month(1)
Current Month
Yield(2)
Prior Month
Yield(3)
Change in Yield
from Prior Month(4)
HEX $0.02748 -2.97% 4.84% 4.55% 0.29%
HEX.A $0.02302 -3.05% 4.04% 3.75% 0.29%
HEE $0.07705 -6.49% 6.81% 4.47% 2.34%
HEE.A $0.06842 -6.56% 6.01% 3.67% 2.34%
HEP $0.15574 -6.18% 7.15% 7.69% -0.54%
HEP.A $0.13766 -6.25% 6.35% 6.89% -0.54%
HEF $0.03752 -3.52% 5.08% 5.51% -0.43%
HEF.A $0.03174 -3.59% 4.28% 4.71% -0.43%
HEJ $0.03042 0.85% 5.60% 4.82% 0.78%
HEJ.A $0.02607 0.77% 4.80% 4.02% 0.78%
HEA.U $0.04731 -0.61% 5.08% 5.05% 0.03%
HEA $0.04731 1.27% 5.08% 5.05% 0.03%
HEA.V $0.03987 -0.68% 4.28% 4.25% 0.03%
HEA.A $0.03987 1.19% 4.28% 4.25% 0.03%
HGY $0.01999 0.62% 4.63% 4.65% -0.02%
HGY.A $0.01675 0.55% 3.88% 3.90% -0.02%
HNY $0.10343 0.78% 8.83% 10.21% -1.38%
HNY.A $0.09369 0.70% 8.00% 9.38% -1.38%

 

(1) Based on the period from February 16, 2017 to March 22, 2017, where the prior month’s NAV (net asset value) per unit is adjusted to include the prior month’s distribution.
(2) Annualized and based on the applicable March 22, 2017 NAV per unit, which is available at www.HorizonsETFs.com.
(3) Annualized and based on the applicable February 16, 2017 NAV per unit, which is available at www.HorizonsETFs.com.
(4) The absolute change of the prior month’s previously announced annualized distribution yield, to the current month’s annualized distribution yield.
(5) Distributions for Horizons Enhanced Income US Equity (USD) ETF are declared and paid in U.S. dollars, including those listed under the Canadian dollar traded tickers HEA and HEA.A. The approximate Canadian dollar equivalent distribution rates for HEA and HEA.A are $0.06305 per unit and $0.05313 per unit, respectively. For unitholders who hold the Canadian dollar traded HEA and HEA.A, distribution payments will typically be converted to Canadian dollars by the unitholder’s account holder

Each ETF does not have a fixed distribution but pays distributions monthly. Distribution rates are generally based on the average current volatility of the securities held by the ETF, along with any dividend income received, less expenses payable by the ETF. The amount of monthly cash distributions are expected to fluctuate from month to month, and there can be no assurance that an ETF will make any distributions in any particular month or months. Monthly distributions will be paid in cash, unless the investor has chosen to participate in the ETF’s reinvestment plan.

About Horizons ETFs Management (Canada) Inc.
Horizons ETFs Management (Canada) Inc. and its affiliate AlphaPro Management Inc. are innovative financial services companies offering the Horizons ETFs family of exchange traded funds. The Horizons ETFs family includes a broadly diversified range of investment tools with solutions for investors of all experience levels to meet their investment objectives in a variety of market conditions. Horizons ETFs has $7.1 billion of assets under management. With 76 ETFs listed on the Toronto Stock Exchange, the Horizons ETFs family makes up one of the largest families of ETFs in Canada. Horizons ETFs Management (Canada) Inc. and AlphaPro Management Inc. are members of the Mirae Asset Global Investments Group.

For further information:
Martin Fabregas, Investor Relations, (416) 601-2508 or 1-866-641-5739.

Download PDF

Mots-clés
Non classifié(e)

Get Horizons insights in your inbox

"*" indique un champ obligatoire

Veuillez indiquer si vous êtes :*
* Indique un champ obligatoire

Publications connexes

À Horizons ETFs, nous croyons que l’éducation est synonyme d’autonomisation. Nous nous efforçons de fournir aux investisseurs canadiens les connaissances et les outils dont ils ont besoin pour naviguer dans le monde des placements. Qu’il s’agisse des connaissances de base sur les FNB ou de sujets plus complexes comme le fonctionnement de notre gamme de fonds inverses et à effet de levier, notre bibliothèque d’apprentissage exhaustive vise à être accessible à tous les investisseurs, des débutants aux spéculateurs expérimentés!