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Company | Country | Symbol |
---|
Time | Volume | HISA |
---|---|---|
09:32 ET | 6500 | 50.13 |
09:46 ET | 500 | 50.13 |
09:48 ET | 183000 | 50.13 |
10:00 ET | 900 | 50.13 |
10:08 ET | 2600 | 50.13 |
10:09 ET | 100 | 50.13 |
10:11 ET | 200 | 50.13 |
10:13 ET | 3100 | 50.13 |
10:29 ET | 3100 | 50.14 |
10:33 ET | 400 | 50.14 |
10:36 ET | 100 | 50.13 |
11:05 ET | 100 | 50.13 |
11:14 ET | 2000 | 50.13 |
11:30 ET | 2000 | 50.13 |
11:48 ET | 1900 | 50.13 |
11:59 ET | 189100 | 50.13 |
12:06 ET | 500 | 50.14 |
12:14 ET | 1300 | 50.13 |
12:26 ET | 400 | 50.13 |
12:42 ET | 2100 | 50.13 |
01:31 ET | 200 | 50.14 |
02:39 ET | 1800 | 50.14 |
02:45 ET | 400 | 50.13 |
03:08 ET | 100 | 50.13 |
03:24 ET | 100 | 50.14 |
03:26 ET | 400 | 50.14 |
03:32 ET | 2200 | 50.13 |
03:33 ET | 1000 | 50.14 |
03:55 ET | 600 | 50.13 |
03:57 ET | 300 | 50.14 |
04:00 ET | 1000 | 50.13 |
Cash | 84.6% |
---|---|
Fixed Income | 15.4% |
CDN Equity | 0 |
Int'l Equity | 0 |
Other | 0 |
US Equity | 0 |
No data available |
No data available |
Time Horizon | Star Rating |
---|---|
Overall Rating | Not Rated |
3 Year Rating | Not Rated |
5 Year Rating | Not Rated |
10 Year Rating | Not Rated |
Past performance is no guarantee of future results. The ratings reflect historical risk-adjusted performance, and the overall rating is derived from a weight average of the fund's 3, 5, and 10 year (Morningstar Rating) metrics.
Style Box is calculated only using the long position holdings of the portfolio.
Best Fit Index | Bank of Canada T-bill 1M TR CAD |
---|---|
Category | |
Sponsor | Evolve Funds Group Inc |
Inception | November 19, 2019 |
HISA seeks to maximize monthly income while preserving capital and liquidity by investing primarily in high interest deposit accounts. HISA primarily invests in high interest deposit accounts with one or more Canadian chartered banks, credit unions or trust companies, and may also invest in high-quality, short-term debt securities (with a term to maturity of 365 days or less) with a designated rating, including treasury bills and promissory notes issued or guaranteed by Canadian governments or their agencies, and bankers acceptances.
Total Net Assets | $1.5B |
---|---|
Shares Out. | 29.0M |
Net Asset Value (NAV) | $50.12 |
Prem/Discount to NAV | 0.01% |
P/E Ratio | --- |
Dividend Yield | 3.29% |
Dividend per Share | 1.65 CAD |
Ex-Dividend Date | 11/26/2024 |
Dividend Payment Date | 12/6/2024 |
Beta | --- |
Morningstar Investment Style | Canadian Money Market |
Equity Style | --- |
Credit Quality / Duration | --- |
Actual Management Fee | 0.05% |
---|---|
Actual Mgmt. Expense Ratio (MER) | 0.16% |