The investment seeks to provide an exposure to the performance of a portfolio of U.S. stocks with the potential for long term capital growth. Securities will be selected from the large capitalization U.S. equity universe. The 100 securities that have the lowest sensitivity to market movements (beta) will be selected for the portfolio and it will be weighted so that a higher allocation is given to securities with lower beta.
|Last Price 22.47||Change $ -0.13||Change % -0.58||Tick N/A|
|Bid N/A||Bid Size 0.00||Ask 33.75||Ask Size 1,000.00|
|Open N/A||High N/A||Low N/A||Prev Close 22.60|
|Last Trade||Volume 300||52 Wk Hi 24.73||52 Wk Low 20.34|
|Market Cap 42.7 mi||Ex-Div Date||Div Rate 0.44||Yield 1.9580|
|Shares 1,900,000.00||EPS (TTM) N/A||PE Ratio 21.70||Exchange TSX|