TORONTO, Sept. 21, 2018 /CNW/ - Scotia Global Asset
Management today announced the September
2018 cash distributions for the Scotia Strategic ETF
Portfolios listed on the TSX, which pay on a monthly or quarterly
basis. Unitholders of record on September
28, 2018 will receive cash distributions for the respective
Portfolios payable on October 3,
2018. The details of the cash distribution amounts per unit
are as follows:
Scotia Strategic
ETF Portfolio name
|
Ticker
symbol (TSX)
|
Cash
distribution
per unit ($)
|
Distribution
frequency
|
Scotia Strategic
Canadian Equity ETF Portfolio
|
SCAD
|
0.120
|
quarterly
|
Scotia Strategic U.S.
Equity ETF Portfolio
|
SUSA
|
0.054
|
quarterly
|
Scotia Strategic
International Equity ETF Portfolio
|
SINT
|
0.069
|
quarterly
|
Scotia Strategic
Fixed Income ETF Portfolio
|
SFIX
|
0.041
|
monthly
|
For more information on the Scotia Strategic ETF Portfolios,
visit scotiabank.com/ETF.
Commissions, management fees and expenses all may be associated
with investments in exchange-traded funds (ETFs). Please read the
prospectus before investing. The securities held by the ETFs can
change at any time without notice. Investments in ETFs are not
guaranteed, their values change frequently and past performance may
not be repeated.
About Scotiabank
Scotiabank
is Canada's international bank and a leading financial
services provider in the Americas. We are dedicated to helping our
25 million customers become better off through a broad range of
advice, products and services, including personal and commercial
banking, wealth management and private banking, corporate and
investment banking, and capital markets. With a team of more than
96,000 employees and assets of $947 billion (as
at July 31, 2018), Scotiabank trades on the Toronto Stock
Exchange (TSX: BNS) and New York Stock Exchange (NYSE: BNS).
For more information, please visit www.scotiabank.com and
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SOURCE Scotiabank