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CI US Treasury Inflation-linked Bond Index ETF (CAD Hedged)
Symbol CTIP
Shares Issued 475,000
Close 2025-02-28 C$ 15.84
Market Cap C$ 7,524,000
Recent Sedar Documents

CI ETFs to pay distributions May 30

2025-05-14 07:30 ET - News Release

Also News Release (C-CUBD) CI Global Unconstrained Bond Fund
Also News Release (C-CXF) CI Canadian Convertible Bond ETF
Also News Release (C-FIG) CI Investment Grade Bond ETF
Also News Release (C-FPR) CI Preferred Share ETF
Also News Release (C-FSB) CI Enhanced Short Duration Bond Fund
Also News Release (C-ONEB) CI One North American Core Plus Bond ETF

Mr. Murray Oxby reports

CI GLOBAL ASSET MANAGEMENT ANNOUNCES MAY 2025 DISTRIBUTIONS FOR THE CI ETFS

CI Global Asset Management has declared regular cash distributions for the month ending May 31, 2025, in respect of the CI exchange-traded funds. The distributions will be paid on or before May 30, 2025, to unitholders of record on May 26, 2025. The ex dividend date for all ETFs is May 26, 2025.

We seek Safe Harbor.

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