CI Enhanced Short Duration Bond Fund(FSB-U) USD 9.76
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.75%USD 0.073CAD0.0242023-04-21
CAD0.02332023-03-24
CAD0.02372023-02-21
CAD0.02392023-01-24
20221.29%USD 0.126CAD0.02352022-12-21
CAD0.02392022-11-23
CAD0.01092022-10-24
CAD0.01112022-09-22
CAD0.01162022-08-24
CAD0.01172022-07-22
CAD0.01162022-06-23
CAD0.01172022-05-24
CAD0.01182022-04-22
CAD0.0122022-03-24
CAD0.01182022-02-18
CAD0.01182022-01-24
20211.17%USD 0.114CAD0.01172021-12-22
CAD0.01182021-11-23
CAD0.01212021-10-22
CAD0.01182021-09-22
CAD0.01192021-08-24
CAD0.01192021-07-23
CAD0.01222021-06-23
CAD0.01242021-05-20
CAD0.0122021-04-23
CAD0.01192021-03-24
CAD0.01192021-02-19
CAD0.01652021-01-22
20201.39%USD 0.135CAD0.01622020-12-22
CAD0.01792020-11-23
CAD0.01792020-10-23
CAD0.01762020-09-23
CAD0.01752020-07-24
CAD0.01682020-05-22
CAD0.01682020-04-23
CAD0.01382020-03-24
CAD0.01512020-02-21
0.022020-01-24
20192.46%USD 0.240.022019-12-20
0.022019-11-22
0.022019-10-24
0.022019-09-23
0.022019-08-23
0.022019-07-24
0.019992019-06-21
0.022019-05-24
0.022019-04-23
0.019962019-03-22
0.019972019-02-21
0.019992019-01-24
20182.26%USD 0.220.020022018-12-20
0.022018-11-23
0.022018-10-24
0.022018-09-21
0.020112018-08-24
0.019992018-07-24
0.020042018-06-22
0.022018-04-23
0.022018-03-22
0.022018-02-21
0.022018-01-24
20170.92%USD 0.090.032017-12-27
0.029882017-11-28
0.030062017-10-27