MONTREAL, April 15, 2025 /CNW/ - National Bank Investments Inc. (‟NBI") announced today the April 2025 cash distribution amounts per unit for certain NBI Exchange-Traded Funds (‟NBI ETFs").
Unitholders of record on April 23, 2025, will receive cash distributions on April 30, 2025, as detailed in the table below.
ETF Name
Ticker Symbol (TSX)
Cash Distribution
Per Unit
Payment Frequency
NBI Global Real Assets Income ETF
NREA
$0.0200
Monthly
NBI Active Canadian Preferred Shares ETF
NPRF
$0.1000
Monthly
NBI Unconstrained Fixed Income ETF
NUBF
$0.0700
Monthly
NBI High Yield Bond ETF
NHYB
$0.0800
Monthly
NBI Sustainable Canadian Bond ETF
NSCB
$0.0500
Monthly
NBI Sustainable Canadian Corporate Bond ETF
NSCC
$0.0600
Monthly
NBI Sustainable Canadian Short Term Bond ETF
NSSB
$0.0260
Monthly
NBI Canadian Dividend Income ETF
NDIV
$0.0800
Monthly
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