First Asset Investment Management Inc. Announces Final Valuations for Terminated ETFs
/NOT FOR DISSEMINATION TO U.S. NEWSWIRE SERVICES OR FOR DISSEMINATION IN THE UNITED STATES OF AMERICA./
TORONTO, June 11, 2018 /CNW/ - Further to its announcement on March 29, 2018, First Asset Investment Management Inc. ("First Asset") announces that the exchange-traded funds (the "Funds") listed below were terminated effective today. The units of the Funds were delisted from the Toronto Stock Exchange on June 8, 2018.
At the time of termination, each Fund's final net asset value ("Final NAV") will be distributed on a pro rata basis among the Fund's holders. All payments will be made to holders on or about June 13, 2018, without any further action required by those holders.
The Final NAV per unit for each Fund will be as follows:
Fund Name |
Ticker |
Final NAV |
First Asset U.S. Equity Multi-Factor Index ETF |
FUM |
$22.7839 |
First Asset Canadian Dividend Low Volatility Index ETF |
FDL |
$19.7218 |
First Asset – Smart SolutionsTM
First Asset, a CI Financial Company, is a Canadian investment firm delivering a comprehensive suite of smart ETF solutions. Rooted in strong fundamentals, First Asset's smart solutions strive to deliver better risk-adjusted returns than the broad market, while helping investors achieve their personal financial goals.
TMFirst Asset and its logo are trademarks of First Asset Capital Corp., a wholly-owned subsidiary of CI Financial Corp. which is listed on the Toronto Stock Exchange under the symbol "CIX". ®CI FINANCIAL is a registered trademark of CI Investments Inc., used under license.
SOURCE First Asset
please call Investor Relations, First Asset at 416-642-1289 or 1‐877‐642‐1289 or visit www.firstasset.com.
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