Symbol: CTIP
Security name: CI U.S. Treasury Inflation-linked Bond Index ETF (CAD Hedged)
Security type: exchange-traded fund
Currency: Canadian dollar
Distribution type: cash dividend (in Canadian dollars)
Distribution ID: 558
Status: updated
Updated date: May 20, 2025
Declared date: May 14, 2025
Ex date: May 27, 2025
Record date: May 27, 2025
Payment date: May 30, 2025
Cash amount: 8.22 cents
Distribution status: final
Notes: updated record date and ex date
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