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Russell Invt Fixed Income Pool ETF (RIFI.TO)

Russell Invt Fixed Income Pool ETF (RIFI.TO)
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Overview

Name Russell Investments Fixed Income Pool ETF
Fund Family Russell Investments
Underlying Index N/A
Inception Date 01/22/20
First Trade Date 02/28/20
Leverage Long
Asset Class Fixed Income

Description:

To provide effective diversification against equities and a stable level of cash flow by investing principally in fixed income securities of Canadian issuers that are rated by Dominion Bond Rating Service as BBB or higher or that are, in the opinion of the money manager, equivalent to such a rating.

Investment Information

60-Month Beta 0.91
Standard Deviation +0.51
Managed Assets, $K 27,714.11 K
Net Asset Value 17.91
First Trade Price 20.44
Management Fee 0.50%
Options No
Latest Dividend 0.060
Last Dividend Date 11/20/24
Annual Dividend 0.72
Annual Dividend Yield 4.00%
1-Year Return 5.96%
3-Year Return -10.74%
5-Year Return 0.00%
RRSP Eligible No

RIFI.TO Dividends

Date Value
11/20/24 $0.0600
10/22/24 $0.0600
09/20/24 $0.0600
08/21/24 $0.0600
07/22/24 $0.0600
06/20/24 $0.0600
05/21/24 $0.0600
04/19/24 $0.0600
03/19/24 $0.0600
02/20/24 $0.0600
01/19/24 $0.0600
12/28/23 $0.0590
11/21/23 $0.0590
10/19/23 $0.0590
09/19/23 $0.0590
08/21/23 $0.0590
07/19/23 $0.0590
06/20/23 $0.0590
05/18/23 $0.0590
04/19/23 $0.0590
03/21/23 $0.0590
02/21/23 $0.0590
01/20/23 $0.0590
12/29/22 $0.0298
11/21/22 $0.0298
10/19/22 $0.0298
09/20/22 $0.0298
08/19/22 $0.0298
07/19/22 $0.0298
06/21/22 $0.0298
05/18/22 $0.0298
04/19/22 $0.0298
03/21/22 $0.0298
02/18/22 $0.0298
01/21/22 $0.0298
12/30/21 $0.0308
11/19/21 $0.0308
10/19/21 $0.0308
09/21/21 $0.0308
08/19/21 $0.0308
07/20/21 $0.0308
06/21/21 $0.0308
05/18/21 $0.0308
04/20/21 $0.0308
03/19/21 $0.0308
02/19/21 $0.0308
01/19/21 $0.0308
12/30/20 $0.1110
11/19/20 $0.0292
10/20/20 $0.0292
09/21/20 $0.0292
08/19/20 $0.0292
07/21/20 $0.0292
06/19/20 $0.0292
05/19/20 $0.0292
04/21/20 $0.0292
03/19/20 $0.0292
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