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Ressources du conseiller – Ouverture de session Documents relatifs aux fonds Analysez les placements

Indice

Détails

Cote de risque
  • Faible
  • Faible à moyen
  • Moyen
  • Moyen à élevé
  • Élevé
Frais de gestion %
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RFG %
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Maximum des autres frais annuels %
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Actif
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Parts en circulation
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Distribution de revenu
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Distribution de gains en capital
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Catégorie du fonds
(CIFSC)
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Date de
création
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Distributions

Distributions ($)/part

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Intérêts {{ displayNumber(item.interest, 2) }}
Dividendes canadiens {{ displayNumber(item.dividends, 2) }}
Revenus étrangers {{ displayNumber(item.foreignDividends, 2) }}
Impôt étranger {{ displayNumber(item.foreignTaxesPaid, 2) }}
Gains en capital {{ displayNumber(item.capitalGains, 2) }}
Remboursement de capital {{ displayNumber(item.returnCapital, 2) }}
Distributions totales {{ displayNumber(item.total, 2) }}

* Les distributions sont classées par type de revenu à la fin de l’année et le total comprend toutes les distributions déclarées depuis le début de l’année.

Période Ex-dividende Date de clôture des registres Date de versement Distr. en espèces Distr. réinvesties Distr. totales††
{{ row.period }} {{ row.exDivDate }} {{ row.recordDate }} {{ row.payDate }} {{ formatNumber(row.cashDistr, 3) }} {{ !etfTypeIshare ? formatNumber(row.reInvDistr, 3) : (row.reInvDistr === 0 ? (language === 'fr' ? '0,000' : '0.000') : row.reInvDistr.toFixed(3)) }} {{ formatNumber(row.totalDistr, 3) }}
{{ distributionsScheduleTotalText }} {{ formatNumber(filteredDistributionsScheduleTotals.cashDistr, 3) }} {{ filteredDistributionsScheduleTotals.reInvDistr === 0 ? formatNumber(0, 3) : filteredDistributionsScheduleTotals.reInvDistr < 1 ? formatNumber(filteredDistributionsScheduleTotals.reInvDistr, 3) : formatNumber(filteredDistributionsScheduleTotals.reInvDistr, 3) }} {{ formatNumber(filteredDistributionsScheduleTotals.total, 3) }}

† Distributions du Fonds qui ne sont pas versées en espèces, mais qui entraînent l’émission de parts additionnelles du Fonds. Les investisseurs doivent tenir compte de ces distributions à des fins fiscales en ajoutant leur montant au prix de base rajusté des parts détenues.

†† Le traitement fiscal précis des distributions pour une année civile est déterminé après la fin de l’année d’imposition du Fonds. Par conséquent, les investisseurs recevront de leur courtier un relevé fiscal officiel précisant le type de revenu qu’ils doivent déclarer au fisc pour toute l’année, et non pour chaque distribution.

Analyse du portefeuille

Caractéristiques de durabilité

Pour être inclus dans les notations des fonds ESG MSCI, 65 % de la pondération brute du fonds doit provenir de titres ayant fait l’objet d’une recherche par MSCI ESG Research (certaines positions de trésorerie et d’autres types d’actifs dont l’analyse ESG par MSCI ne serait pas pertinente sont écartés avant le calcul de la pondération brute d’un fonds et les valeurs absolues des positions vendeur sont incluses mais considérées comme non couvertes), la date des avoirs du fonds doit être inférieure à un an et le fonds doit posséder au moins dix titres. Pour les fonds nouvellement lancés, les indicateurs de développement durable sont généralement disponibles 6 mois après le lancement. Les notations MSCI sont actuellement indisponibles pour ce fonds.

Caractéristiques

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Caractéristique

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Benchmark
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Holdings

In general, the values shown for an asset’s percentage weight (the “calculated value”) are based on a price provided by a third-party pricing vendor and do not reflect the impact of fair valuation, if applicable (the “vendor price”). The vendor price is not necessarily the price at which the Fund values the portfolio holding for the purposes of determining the Fund’s net asset value (the “valuation price”), and the calculated value may have been different if the valuation price were to have been used to calculate such values. The vendor price is as of the most recent date for which a price is available and may not necessarily be as of the date shown above.

Where a Fund invests directly or indirectly in Russian equity securities, as well as American Depositary Receipts and Global Depositary Receipts evidencing ownership of Russian equity securities and for which trading has been suspended, the calculated values for such securities are based on the Fund’s valuation price.

As of {{ holdingsAsOf }}
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Holdings Assets
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Total % of top 10 holdings {{ holdingsTopTotal }}
Total number of holdings {{ holdingsTotal }}

Performance

Prices

As of {{ pricesAsOf }}
Market
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Market 52 week high {{ pricesMarketWeekHigh }}
Market 52 week low {{ pricesMarketWeekLow }}
Volume {{ pricesVolume }}
NAV
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Market 52 week high {{ pricesNavWeekHigh }}
Market 52 week low {{ pricesNavWeekLow }}

Trailing returns %

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YTD 1 mo 3 mo 6 mo 1 yr 3 yr 5 yr 10 yr Incept.
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Index {{ displayNumber(trailingReturnsData[key].index) }}

Calendar returns %

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Growth of $10,000

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Highest/lowest returns (%)

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1 yr 3 yr 5 yr
Ended Return Ended Return Ended Return
Highest {{ bestWorstdisplayDate(bestWorstBest['1Yr'].end) }} {{ displayNumber(bestWorstBest['1Yr'].value) }} {{ bestWorstdisplayDate(bestWorstBest['3Yr'].end) }} {{ displayNumber(bestWorstBest['3Yr'].value) }} {{ bestWorstdisplayDate(bestWorstBest['5Yr'].end) }} {{ displayNumber(bestWorstBest['5Yr'].value) }}
Lowest {{ bestWorstdisplayDate(bestWorstWorst['1Yr'].end) }} {{ displayNumber(bestWorstWorst['1Yr'].value) }} {{ bestWorstdisplayDate(bestWorstWorst['3Yr'].end) }} {{ displayNumber(bestWorstWorst['3Yr'].value) }} {{ bestWorstdisplayDate(bestWorstWorst['5Yr'].end) }} {{ displayNumber(bestWorstWorst['5Yr'].value) }}
Average - {{ displayNumber(bestWorstcalculateAnnualized(bestWorstaverage(bestWorstAvg['1Yr']),1)) }} - {{ displayNumber(bestWorstcalculateAnnualized(bestWorstaverage(bestWorstAvg['3Yr']),3)) }} - {{ displayNumber(bestWorstcalculateAnnualized(bestWorstaverage(bestWorstAvg['5Yr']),5)) }}
No. of periods - {{ bestWorstAvg['1Yr'].length }} - {{ bestWorstAvg['3Yr'].length }} - {{ bestWorstAvg['5Yr'].length }}
% positive - {{ displayNumber(bestWorstpercentOfPositive(bestWorstAvg['1Yr'])) }} - {{ displayNumber(bestWorstpercentOfPositive(bestWorstAvg['3Yr'])) }} - {{ displayNumber(bestWorstpercentOfPositive(bestWorstAvg['5Yr'])) }}
RBC ETFs are managed by RBC Global Asset Management Inc. (RBC GAM Inc.). Commissions, management fees and expenses all may be associated with investments in exchange-traded funds (ETFs). Please read the prospectus and/or ETF Facts before investing. ETFs are not guaranteed, their values change frequently and past performance may not be repeated. ETF units are bought and sold at market price on a stock exchange and brokerage commissions will reduce returns. Index returns do not represent RBC ETF returns.

This is provided for informational purposes only. Particular investments and/or trading strategies should be evaluated relative to each individual’s investment objectives. The information contained herein is not, and should not be construed as, investment or tax advice. This information has been compiled by RBC GAM Inc. from sources believed to be reliable, but no representations or warranty, express or implied, are made by RBC GAM Inc., its affiliates or any other person as to its accuracy, completeness or correctness. All opinions and estimates constitute RBC GAM Inc.'s judgment as of the date of this document, are subject to change without notice and are provided in good faith but without legal responsibility.

If shown, the indicated rates of return are the historical annual compounded total returns for the periods indicated including changes in unit value and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any unitholder that would have reduced returns. The rates of return for periods of less than one year are simple rates of return.

MER (%) is based on actual expenses reported in the fund's most recent Semi-Annual or Annual Management Report of Fund Performance, expressed on an annualized basis. Assets shown are net assets in the ETF as of the date indicated. Fund category is determined by the Canadian Investment Funds Standards Committee (CIFSC).

At least once each year, the Fund will distribute all net taxable income to investors. These distributions will either be paid in cash or reinvested in the Fund, as may be determined by BlackRock Asset Management Canada Limited from time to time. These distributions will consist primarily of distributions received from the securities held within the Fund less Fund expenses, plus any realized capital gains generated from securities transactions within the Fund.

The amounts of past distributions are shown in the distributions section above. The characterization of distributions for tax purposes (such as dividends, other income, capital gains etc.) for each period will be reported only after the Fund's tax year end. Therefore, the above table showing the tax characteristics will be updated only once each tax year. For tax purposes, these amounts will be reported by brokers on official tax statements.

The information reported in Portfolio Analysis is subject to change and is based on data available to RBC GAM Inc. as of the date indicated. RQN, RQO, RQP, RQQ, RQR, and RQS (“Canadian Index-Tracking TMCBs”) have been developed solely by RBC GAM Inc. and do not seek to return any predetermined amount at maturity. The Canadian Index-Tracking TMCBs are not in any way connected to or sponsored, endorsed, sold or promoted by the London Stock Exchange Group plc and its group undertakings (collectively, the “LSE Group”). FTSE Russell is a trading name of certain of the LSE Group companies.

All rights in the FTSE Canada 2025 Maturity Corporate Bond Index, FTSE Canada 2026 Maturity Corporate Bond Index, FTSE Canada 2027 Maturity Corporate Bond Index, FTSE Canada 2028 Maturity Corporate Bond Index, FTSE Canada 2029 Maturity Corporate Bond Index, and FTSE Canada 2030 Maturity Corporate Bond Index (collectively, the “FTSE Maturity Corporate Bond Indices”) vest in the relevant LSE Group company which owns the FTSE Maturity Corporate Bond Indices. “FTSE®” is a trade mark of the relevant LSE Group company and is used by any other LSE Group company under license.

The FTSE Maturity Corporate Bond Indices are calculated by or on behalf of FTSE Global Debt Capital Markets Inc. or its affiliate, agent or partner. The LSE Group does not accept any liability whatsoever to any person arising out of (a) the use of, reliance on or any error in the FTSE Maturity Corporate Bond Indices or (b) investment in or operation of the Canadian Index-Tracking TMCBs. The LSE Group makes no claim, prediction, warranty or representation either as to the results to be obtained from the Canadian Index-Tracking TMCBs or the suitability of the FTSE Maturity Corporate Bond Indices for the purpose to which they are being put by RBC GAM Inc.

Solactive Canada Bank Yield Index, Solactive U.S. Banks Yield Index and Solactive U.S. Banks Yield (CAD Hedged) Index are calculated and published by Solactive AG. RBNK, RUBY, RUBY.U, and RUBH referred to herein are not sponsored, promoted, sold or supported by Solactive AG. Solactive AG does not offer any express or implicit guarantee or assurance regarding the results to be obtained from the use of the index or index price nor does Solactive AG make any representation regarding the advisability of investing in the ETF.

RBC Global Asset Management is the asset management division of Royal Bank of Canada (RBC) which includes RBC GAM Inc., RBC Global Asset Management (U.S.) Inc., RBC Global Asset Management (UK) Limited and RBC Global Asset Management (Asia) Limited, which are separate, but affiliated subsidiaries of RBC.