|
End-of-day quote
Toronto S.E.
2026-05-08
|
5-day change
|
1st Jan Change
|
|
24.68 CAD
|
+0.20%
|
|
+0.20%
|
-0.96%
|
|
Apr. 09 |
JPMorgan US Bond Active ETF announces Monthly dividend, payable on April 23, 2026
|
CI
| |
Mar. 12 |
JPMorgan US Bond Active ETF announces Monthly dividend, payable on March 23, 2026
|
CI
| |
Feb. 09 |
JPMorgan US Bond Active ETF announces Monthly dividend, payable on February 24, 2026
|
CI
| |
Dec. 24 |
JPMorgan US Bond Active ETF announces Monthly dividend, payable on January 16, 2026
|
CI
| |
Dec. 09 |
JPMorgan US Bond Active ETF announces Monthly dividend, payable on December 18, 2025
|
CI
| |
Nov. 12 |
JPMorgan US Bond Active ETF announces Monthly dividend, payable on November 24, 2025
|
CI
|
|
CA4812CD1029
|
|---|
|
Total Expense Ratio
|
0.25%
|
|---|
|
Asset Class
|
Fixed Income
|
|---|
|
Currency
| |
|---|
|
Provider
| |
|---|
|
Dividend Policy
|
Distribution
|
|---|
|
Jurisdiction
| | |
Fund Structure
| | |
Date of creation
|
2025-09-23
| |
Credit Rating
| | |
Geographical Focus
| |
|
AuM (CAD)
|
222M
|
|---|
|
AuM 1M
|
182M
|
|---|
|
AuM 3 months
|
78.07M
|
|---|
|
AuM 6 months
|
10.87M
|
|---|
|
AuM 12 months
|
10.87M
|
|---|
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