QEBL
Mackenzie Emerging Markets Local Currency Bond Index ETF
Why invest in this fund?
- Low portfolio turnover; lower transaction costs
- Targeted access to specific market segments
- Key benefit of Indexing: Transparency
Key Facts
NAV Changes $ | % | YTD
C$0.85 | 0.85% | n/a
Net Assets
Dec 6, 2019
C$111,065,302
Units Outstanding
Dec 6, 2019
1,100,000
Risk Tolerance
Low-Med
Management Fee | MER
Mar 31, 2019
0.45% | n/a
Index*
Solactive EM Local Currency Government Bond Select NTR Index
NAV
C$101.35
| C$99.99
Inception Date
Oct 24, 2019
Management Style
Traditional Index
Eligible for Registered Plans
Yes
CUSIP
55455J102
Exchange
Toronto Stock Exchange
Investment Programs
DRIP
Rebalance Frequency
Monthly
ETF Characteristics
Distribution Yield (Oct 31, 2019)
n/a
Last Paid Distribution (Dec 10, 2019)
C$0.265
Record Date
Dec 3, 2019
Distribution Frequency
Monthly
Effective Duration (Oct 31, 2019)
6.24 years
Weighted Average Maturity (Oct 31, 2019)
9.17 years
Weighted Average YTM (Oct 31, 2019)
5.33%
Weighted Average Coupon (Oct 31, 2019)
6.51%
Commentary
Performance
Portfolio
Maturity
Historical Data
Resources
Fund Materials
= Login required for access
-
ETF Fact Sheet - Mackenzie Emerging Markets Local Currency Bond Index ETF pdf 146KB
-
ETF strategy brochure - Mackenzie Exchange Traded Funds Brochure pdf 1083KB
Regulatory Documents
= Login required for access