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Un FNB pour chaque investisseur.

HSAV

FNB Horizons Compte maximiseur d’espèces

Prix
$102.29
$0.01
0.00%
Valeur liquidative
$102.2840
$0.0088
0.01%

Catégorie de Société - Rendement Total

Indices

Aperçu du FNB
En savoir plus sur HSAV

QQCC

FNB Horizons Options d’achat couvertes NASDAQ-100

Prix
$5.40
$0.10
1.89%
Valeur liquidative
$5.3690
$-0.0217
-0.40%

Active

Options D'achat Couvertes

Aperçu du FNB
En savoir plus sur QQCC

HAC

FNB Horizons à rotation saisonnière

Prix
$24.79
$-0.01
-0.04%
Valeur liquidative
$24.7971
$-0.0261
-0.11%

Active

Stratégique

Aperçu du FNB
En savoir plus sur HAC
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MiFID II & PRIIP Regulations – EU

Coming into force in January of 2018, expanded MiFID regulations (MiFID II – Markets in Financial Instruments Directive) and PRIIP (Packaged Retail and Insurance-based Investment Products) regulations within the European Union (‘EU’) are designed to regulate EU Investment Managers and Broker Dealers, and enhance disclosure for the buy and sell side regarding investment products.

Horizons ETFs Management (Canada) Inc. (Horizons ETFs) does not carry-on business activities in the EU and is not subject to these disclosure requirements. However, we note that, generally speaking, our Fact Sheet (found on the landing page of each ETF) and the Regulatory ETF Facts document (found in our Regulatory section, and also through each ETFs landing page), combined, provide comparable relevant information about each ETF. These documents, combined with all other disclosure contained on our site (such as each product’s LEI (Legal Entity Identifier) number, found on each product page), should provide sufficient information to any EU distributor in order for them to comply with regulations.

Further, while we note that Horizons ETFs does not typically engage in broker-commission soft dollar arrangements, the Financial Statements of each ETF will identify the value of any such arrangements.