This ETF invests in a portfolio of large-cap Canadian stocks that have a low beta history, meaning they are less sensitive to broad market movements and, therefore, less risky.
Wealth Builder
Sorry, you do not have access to this content.Income Investor
Sorry, you do not have access to this content.Although low-volatility stocks normally underperform in bull markets, this fund did better than the TSX in 2019, gaining 21.82%. The average annual return since inception in 2011 is 13.4%. The ETF has a MER of 0.59%. The trailing 12-month cash distribution is $0.84 for a yield of 2.3%. - Gordon Pape
Current Advice
Buy
Consult your broker/advisor