Evolve Canadian Banks and Lifecos Enhanced Yield Index

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30053T109
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FIGI: BBG014FP8SM4
BANK

Evolve Canadian Banks and Lifecos Enhanced Yield Index
GICS: - · Sector: ETF · Sub-Sector: -
NAME
Evolve Canadian Banks and Lifecos Enhanced Yield Index
ISIN
CA30053T1093
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BANK
MIC
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REUTERS
BANK.TO
BLOOMBERG
BANK CN
EN 728x90
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The X-News Explorer is the ultimate source of information for investors with an affinity for the stock market who want to get a quick and convenient overview of the current news situation of a listed company. Various newswire services are available here. If a news alert is displayed, you will find company news that may be of interest to you. This service is provided by PR-Newswire.

Mon, 18.11.2024       Evolve Canadian Banks and Lifecos EYI
CA30053T1093

TORONTO , Nov. 18, 2024 /CNW/ - Evolve Funds Group Inc. ("Evolve") is pleased to announce the distribution amounts per unit (the "Distributions") for certain funds (the "Evolve Funds"), as indicated in the table below.

The ex-dividend date and record date for the Distributions of the High Interest Savings Account Fund ("HISA"), US High Interest Savings Account Fund ("HISU.U"), Premium Cash Management Fund ("MCAD") and US Premium Cash Management Fund ("MUSD.U") is anticipated to be November 26, 2024. For the distributions for all other Evolve Funds, the ex-dividend date and record date is anticipated to be November 29, 2024. Unitholders of Evolve Funds on record date will receive cash distributions payable on or about December 6, 2024.

Evolve Canadian Banks and Lifecos EYI
Thu, 26.09.2024       Evolve Canadian Banks and Lifecos EYI
CA30053T1093

In the news release, Evolve Announces September 2024 Distributions for Certain Evolve Funds, issued 18-Sep-2024 by Evolve ETFs over PR Newswire, we are advised by the company that the period ending date was incorrectly stated as August 31, 2024. The correct period ending date is September 30, 2024. All other aspects of the news release remain unchanged. The revised news release follows:

Evolve Announces September 2024 Distributions for Certain Evolve Funds

TORONTO , Sept. 18, 2024 /CNW/ - Evolve Funds Group Inc. ("Evolve") is pleased to announce the distribution amounts per unit (the "Distributions") for certain funds (the "Evolve Funds"), for the period ending September 30, 2024, as indicated in the table below.

Evolve Canadian Banks and Lifecos EYI
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