Investment objective

The Fund's investment objectives are to provide unitholders with monthly cash distributions and the opportunity for capital appreciation from an actively managed portfolio comprised primarily of equity securities of issuers that: derive their revenue from the distribution, wholesale or retail, of oil, natural gas or other refined products typically pursuant to fixed rate transportation tolls or from power generation and sale including hydroelectric, gas-fired, coal-fired and wind, among others, typically pursuant to long term fixed price contracts; service and support these industries; or are otherwise in the energy infrastructure industry.
Off-Hours Price
Change
YTD change
Weight
8.190CAD+0.86%-2.96%6.62%
37.02CAD-0.08%+46.15%6.48%
22.17CAD+0.82%+24.20%5.82%
81.23CAD-0.23%+13.83%5.71%
58.80CAD0.00%+7.61%5.7%
76.17CAD+0.12%+12.61%5.25%
78.70CAD+0.94%+19.82%4.86%
54.57CAD+0.20%+30.39%4.38%
70.29CAD+0.04%+34.42%4.12%
In partnership with
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Description

CA12554G1090
  1. Stock Market
  2. ETF
  3. FAPPF ETF