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Russell Investments Fixed Income Pool ETF (RIFI.TO)

CAD17.65 -0.04 (-0.23%)
TSX CAD CA Equity
NAV CAD 18.20 -3.02% vs NAV as of 2024-09-16
AUM CAD 27.73M
TER 0.58%
Yield (TTM) 4.05%
Distribution Distributing · Monthly
52-week range 17.50 – 18.17
Holdings
Issuer Russel Investments

About this ETF

The fund aims to provide diversification and stable cash flow through an actively-managed portfolio of primarily Canadian bonds that are BBB-rated or higher. The fund is managed with respect to interest rates, sector selection, security selection, currency, and global management. Although the fund focuses primarily on investment grade securities, it may also invest in some lower-rated securities. The fund is expected to use forward contracts to hedge most of its foreign currency exposure, or, in some cases, to gain exposure to foreign currency with respect to its Canadian cash. RIFI also seek to generate returns by its currency management and may enter into securities lending transactions for additional income. Foreign securities are limited to 30% of the funds net assets.

ISIN CA78249T1030
Issuer Russel Investments
Domicile CA
Inception 2020-01-22
Asset class Equity

Price

Top 10 holdings

This fund does not disclose a securities portfolio (e.g. physically-backed or synthetic products).