FT Portfolios Canada Co. announces cash distribution for its exchange traded funds
TSX Symbols – FDY/FDY.A, FUD/FUD.A, FDE/FDE.A, FSL/FSL.A, EUR/EUR.A, FSD/FSD.A, ETP/ETP.A & FTB
TORONTO, Nov. 21, 2016 /CNW/ - FT Portfolios Canada Co. ("First Trust") is pleased to announce cash distribution for its Exchange Traded Funds (the "ETFS") listed on the Toronto Stock Exchange for the period ending November 30, 2016.
The cash distributions are payable on December 7, 2016 to Unitholders of record on November 30, 2016 with an ex-dividend date of November 28, 2016. Details for the per unit distribution amounts are shown below:
Fund Name |
Fund Ticker |
Cash Distribution |
First Trust AlphaDEXTM Canadian Dividend ETF |
FDY |
$0.0484 |
FDY.A |
$0.0311 |
|
First Trust AlphaDEXTM U.S. Dividend ETF |
FUD |
$0.0464 |
FUD.A |
$0.0238 |
|
First Trust AlphaDEXTM Emerging Market Dividend ETF (CAD-Hedged) |
FDE |
$0.0400 |
FDE.A |
$0.0267 |
|
First Trust Senior Loan ETF (CAD-Hedged) |
FSL |
$0.0666 |
FSL.A |
$0.0575 |
|
First Trust AlphaDEXTM European Dividend Index ETF (CAD-Hedged) |
EUR |
$0.1000 |
EUR.A |
$0.0808 |
|
First Trust Short Duration High Yield Bond ETF (CAD-Hedged) |
FSD |
$0.0874 |
FSD.A |
$0.0699 |
|
First Trust Global Risk Managed Income Index ETF |
ETP |
$0.0590 |
ETP.A |
$0.0503 |
|
First Trust Tactical Bond Index ETF |
FTB |
$0.0666 |
SOURCE FT Portfolios Canada Co.
FT Portfolios Canada Co., 416-865-8065/877-622-5552
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