AGFiQ MultiAsset Income Allocation ETF
QMY

AGFiQ MultiAsset Income Allocation ETF

Fund net assets $2,485,571
1 Day NAV Changes as of 01/16/2019
0.02 (0.08%)
NAV Total Return as of 01/16/2019
YTD:
1.68%

ETF Overview

QMY seeks to generate capital growth and regular income by investing in global equity and fixed-income securities including securities related to non-traditional asset classes using exchange-traded funds (ETFs).

Key Reasons to Invest

  1. Outcome-oriented portfolio solution using ETFs, targeting high current income and capital growth through global equity, fixed-income and alternative (infrastructure, commodities and real estate) asset classes
  2. Utilizes a proprietary, multi-factor quantitative investment process as well as a rigorous approach to risk management to create opportunities for better risk-adjusted returns
  3. Consistent, repeatable process to balance risk management with the ability to take intelligent and informed bets, creating opportunities for growth
  4. AGFiQ’s team actively manages ETF portfolios utilizing a comprehensive ETF evaluation and selection process

Key Facts

Fund Details
Ticker
QMY
CUSIP
00111A103
NAV Calculation Time
4:00 PM EST
Exchange
TSX
Inception Date
01/30/2017
Quick Facts
As of Date
01/16/2019
Close
$24.70
Prem/Disc
-0.16
Prem/Disc%
-0.65%
Shares Outstanding
100,000
Fund Net Assets
$2,485,571

Performance

Name 1 Month 3 Months 6 Months YTD 1 Year 3 Years 5 Years 10 Years PSD Performance Start Date

Holding Details

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