Purpose Global Bond Fund Series ETF(BND) CAD 17.15
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.16%CAD 0.2CAD0.06652023-03-28
CAD0.06652023-02-23
CAD0.06652023-01-26
20224.09%CAD 0.702CAD0.05852022-12-23
CAD0.05852022-11-25
CAD0.05852022-10-26
CAD0.05852022-09-27
CAD0.05852022-08-26
CAD0.05852022-07-26
CAD0.05852022-06-27
CAD0.05852022-05-26
CAD0.05852022-04-26
CAD0.05852022-03-28
CAD0.05852022-02-23
CAD0.05852022-01-26
20214.34%CAD 0.745CAD0.05852021-12-24
CAD0.0432021-12-23
CAD0.05852021-11-25
CAD0.05852021-10-26
CAD0.05852021-09-24
CAD0.05852021-08-26
CAD0.05852021-07-27
0.05852021-06-25
0.05852021-05-26
0.05852021-04-27
0.05852021-03-26
0.05852021-02-23
0.05852021-01-26
20203.93%CAD 0.6740.05852020-12-24
0.05852020-11-24
0.05852020-10-27
0.05852020-09-25
0.05852020-08-26
0.05852020-07-28
0.05852020-06-25
0.05852020-05-26
0.05152020-04-27
0.05152020-03-26
0.05152020-02-25
0.05152020-01-28
20193.43%CAD 0.5880.0572019-12-24
0.04832019-11-26
0.04832019-10-28
0.04832019-09-25
0.04832019-08-27
0.04832019-07-26
0.04832019-06-25
0.04832019-05-28
0.04832019-04-25
0.04832019-03-26
0.04832019-02-25
0.04832019-01-28
20184.32%CAD 0.7410.04832018-12-24
0.0632018-11-27
0.0632018-10-26
0.0632018-09-25
0.0632018-08-28
0.0632018-07-26
0.0632018-06-26
0.0632018-05-28
0.0632018-04-27
0.0632018-03-28
0.0632018-02-27
0.0632018-01-30
20173.97%CAD 0.6810.0632017-12-28
0.0632017-11-29
0.062017-10-30
0.0552017-09-28
0.0552017-08-29
0.0552017-07-27
0.0552017-06-28
0.0552017-05-29
0.0552017-04-26
0.0552017-03-29
0.0552017-02-24
0.0552017-01-27
20163.80%CAD 0.6510.0552016-12-28
0.0552016-11-28
0.0552016-10-27
0.0552016-09-28
0.0552016-08-29
0.0552016-07-27
0.0552016-06-28
0.0552016-05-27
0.052016-04-27
0.052016-03-29
0.0552016-02-25
0.0562016-01-27
20150.62%CAD 0.1060.0562015-12-29
0.052015-11-26