Generic filters
Search in excerpt

An ETF for every investor.

HBNK

Horizons Equal Weight Banks Index ETF

Price
$21.29
$0.13
0.61%
NAV
$21.3073
$0.1153
0.54%

Benchmark

Sector Equity

Fact Sheet
Learn more about HBNK

SPAY

Horizons Short-Term U.S. Treasury Premium Yield ETF

Price
$27.12
$-0.11
-0.40%
NAV
$27.1252
$-0.1010
-0.37%

Active

Fixed Income

Fact Sheet
Learn more about SPAY

CASH

Horizons High Interest Savings ETF

Price
$50.14
$0.01
0.02%
NAV
$50.1398
$0.0198
0.04%

Benchmark

Fixed Income

Fact Sheet
Learn more about CASH
Explore All Products
Generic filters
Search in excerpt
Back to Media

Horizons ETFs Announces Final Valuations for Terminating ETFs

TORONTO – March 10, 2021 – Horizons ETFs Management (Canada) Inc. (the “Manager”) previously announced, by way of a press release dated December 31, 2020, that the exchange traded funds (the “ETFs”) listed in the table below would be delisted from the Toronto Stock Exchange at the close of business on March 5, 2021, and terminated effective upon the close of business today, March 10, 2021. The ETFs’ final net asset values (“NAV”), distributions and termination proceeds per unit or ETF share, as applicable (each a “Security”) are as follows:

Ticker Ex-Distribution
NAV per
Security
Income
Distribution
per Security
Capital Gains
Distribution
per Security
Final Net Proceeds
of Termination
per Security
HCN $22.01467 $22.01467
HII $12.10404 $0.03645 $2.23021 $14.37070
HNY $7.69141 $7.69141
HTH $54.12527 $54.12527

 

Securityholders will receive the proceeds from the liquidation of the assets, less all liabilities and all expenses incurred in connection with the dissolution of the applicable ETF(s). These proceeds will be paid to the holders of the remaining outstanding Securities of the applicable ETF(s) on a pro-rata basis, at the rate shown above, without further action by those Securityholders.

Income and capital gains distributions are indicated on a per Security basis in the table above. The net proceeds of termination paid to each Securityholder is the sum of the ex-distribution NAV per Security plus the income and capital gains distributions per Security indicated in the table above and represents the remaining net assets of the applicable ETF(s). The proceeds of termination were paid out today to CDS Clearing and Depository Services Inc.

About Horizons ETFs Management (Canada) Inc. (www.HorizonsETFs.com)
Horizons ETFs Management (Canada) Inc. is an innovative financial services company and offers one of the largest suites of exchange traded funds in Canada. The Horizons ETFs product family includes a broadly diversified range of solutions for investors of all experience levels to meet their investment objectives in a variety of market conditions. Horizons ETFs has more than $17.5 billion of assets under management and 90 ETFs listed on major Canadian stock exchanges.

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

Get Horizons insights in your inbox

"*" indicates required fields

Please select whether you are an…*
* Indicates required field

Related Posts

At Horizons ETFs, we believe in education as empowerment. We endeavor to equip Canadian investors with the knowledge and tools they need to navigate the investing world. From the ETF basics to more complex topics like how our suite of inverse and leveraged funds work, our comprehensive learning library aims to be accessible for all investors, from beginners to experienced traders!