Previous close | 18.94 |
Open | 18.55 |
Bid | 19.17 x N/A |
Ask | 19.28 x N/A |
Day's range | 18.55 - 18.55 |
52-week range | 17.50 - 20.00 |
Volume | |
Avg. volume | 386 |
Net assets | 1.45B |
NAV | 18.94 |
PE ratio (TTM) | N/A |
Yield | 4.77% |
YTD daily total return | 3.33% |
Beta (5Y monthly) | 0.00 |
Expense ratio (net) | 1.09% |
Inception date | 2020-01-22 |
TORONTO, April 11, 2022--Russell Investments Canada Limited ("Russell Investments Canada") today announced cash distributions for the ETF Series of certain mutual funds ("ETF Series") for the months of April, May and June. Unitholders of record of the ETF Series, as of the Record Date, will receive a per-unit cash distribution payable on the Payment Date.
TORONTO, December 22, 2021--December 2021 cash distributions set for Russell Investments Canada's ETF Series
TORONTO, October 25, 2021--Firm announces redemption schedule for one pool (TSX:RIGU) in Series ETF