FT Portfolios Canada Co. Announces A Monthly Cash Distribution for Its Exchange Traded Funds
TORONTO, ONTARIO--(Marketwired - Feb 18, 2015) - FT Portfolios Canada Co. is pleased to announce a cash distribution for its Exchange Traded Funds listed on the Toronto Stock Exchange for the month ending February 28, 2015. The distribution is payable on March 6, 2015 to Unitholders of record on February 27, 2015 with an ex-dividend date of February 25, 2015.
Details for the monthly per unit distribution amounts for February 2015 are indicated in the table below:
Fund Name | Fund Ticker | Cash Distribution Amount | ||
First Trust AlphaDEX™ Canadian Dividend Plus ETF | FDY | $0.0622 | ||
FDY.A | $0.0430 | |||
First Trust AlphaDEX™ U.S. Dividend Plus ETF (CAD-Hedged) | FUD | $0.0530 | ||
FUD.A | $0.0292 | |||
First Trust AlphaDEX™ Emerging Market Dividend ETF (CAD-Hedged) | FDE | $0.0340 | ||
FDE.A | $0.0177 | |||
First Trust Senior Loan ETF (CAD-Hedged) | FSL | $0.0700 | ||
FSL.A | $0.0606 | |||
First Trust AlphaDEX™ European Dividend Index ETF (CAD-Hedged) | EUR | $0.0385 | ||
EUR.A | $0.0178 | |||
First Trust Short Duration High Yield Bond ETF | FHY | $0.0820 | ||
FHY.A | $0.0730 | |||
First Trust Global Risk Managed Income Index ETF | ETP | $0.0675 | ||
ETP.A | $0.0488 |