TORONTO, Aug. 22, 2024 /CNW/ - BMO Asset Management Inc.,
as manager of the BMO ETFs, and BMO Investments Inc., as manager of
the BMO Mutual Funds, today announced the August
2024 cash distributions for unitholders of BMO ETFs and
unitholders of ETF Series units of the BMO Mutual Funds (ETF
Series) that distribute monthly, as set out in the table below.
Unitholders of record of the BMO ETFs and ETF Series at the close
of business on August 29, 2024 will receive cash
distributions payable on September 4, 2024.
The ex-dividend date and record date for all BMO ETFs and ETF
Series of BMO Mutual Funds is August 29,
2024.
Details of the per unit cash distribution amount are as
follows:
FUND
NAME
|
FUND
TICKER
|
CASH
DISTRIBUTION
PER UNIT
|
BMO Aggregate Bond
Index ETF
|
ZAG
|
0.040
|
BMO Canadian MBS Index
ETF
|
ZMBS
|
0.037
|
BMO Discount Bond Index
ETF
|
ZDB
|
0.030
|
BMO Emerging Markets
Bond Hedged to CAD Index ETF
|
ZEF
|
0.045
|
BMO Equal Weight Banks
Index ETF
|
ZEB
|
0.140
|
BMO Equal Weight REITs
Index ETF
|
ZRE
|
0.090
|
BMO Equal Weight
Utilities Index ETF
|
ZUT
|
0.075
|
BMO ESG High Yield US
Corporate Bond Index ETF
|
ESGH
|
0.100
|
BMO ESG High Yield US
Corporate Bond Index ETF (Hedged Units)
|
ESGH.F
|
0.095
|
BMO High Yield US
Corporate Bond Hedged to CAD Index ETF
|
ZHY
|
0.056
|
BMO High Yield US
Corporate Bond Index ETF
|
ZJK
|
0.090
|
BMO High Yield US
Corporate Bond Index ETF (USD Units)*
|
ZJK.U
|
0.085
|
BMO Laddered Preferred
Share Index ETF
|
ZPR
|
0.045
|
BMO Laddered Preferred
Share Index ETF (USD Units)*
|
ZPR.U
|
0.075
|
BMO Long Corporate Bond
Index ETF
|
ZLC
|
0.060
|
BMO Long Federal Bond
Index ETF
|
ZFL
|
0.033
|
BMO Long Provincial
Bond Index ETF
|
ZPL
|
0.040
|
BMO Mid Corporate Bond
Index ETF
|
ZCM
|
0.050
|
BMO Mid Federal Bond
Index ETF
|
ZFM
|
0.028
|
BMO Mid Provincial Bond
Index ETF
|
ZMP
|
0.034
|
BMO Mid-Term US IG
Corporate Bond Hedged to CAD Index ETF
|
ZMU
|
0.042
|
BMO Mid-Term US IG
Corporate Bond Index ETF
|
ZIC
|
0.059
|
BMO Mid-Term US IG
Corporate Bond Index ETF (USD Units)*
|
ZIC.U
|
0.042
|
BMO Real Return Bond
Index ETF
|
ZRR
|
0.057
|
BMO Short Corporate
Bond Index ETF
|
ZCS
|
0.038
|
BMO Short Federal Bond
Index ETF
|
ZFS
|
0.025
|
BMO Short Provincial
Bond Index ETF
|
ZPS
|
0.030
|
BMO Short-Term US IG
Corporate Bond Hedged to CAD Index ETF
|
ZSU
|
0.038
|
BMO US Aggregate Bond
Index ETF
|
ZUAG
|
0.055
|
BMO US Aggregate Bond
Index ETF (Hedged Units)
|
ZUAG.F
|
0.055
|
BMO US Aggregate Bond
Index ETF (USD Units)*
|
ZUAG.U
|
0.055
|
BMO US Preferred Share
Hedged to CAD Index ETF
|
ZHP
|
0.097
|
BMO US Preferred Share
Index ETF
|
ZUP
|
0.109
|
BMO US Preferred Share
Index ETF (USD Units)*
|
ZUP.U
|
0.105
|
BMO Balanced ETF (Fixed
Percentage Distribution Units)
|
ZBAL.T
|
0.141
|
BMO Canadian Banks
Accelerator ETF
|
ZEBA
|
0.115
|
BMO Canadian Dividend
ETF
|
ZDV
|
0.070
|
BMO Canadian High
Dividend Covered Call ETF
|
ZWC
|
0.100
|
BMO Covered Call
Canadian Banks ETF
|
ZWB
|
0.110
|
BMO Covered Call
Canadian Banks ETF (USD Units)*
|
ZWB.U
|
0.140
|
BMO Covered Call Dow
Jones Industrial Average Hedged to CAD ETF
|
ZWA
|
0.130
|
BMO Covered Call Energy
ETF
|
ZWEN
|
0.220
|
BMO Covered Call Health
Care ETF
|
ZWHC
|
0.160
|
BMO Covered Call
Technology ETF
|
ZWT
|
0.150
|
BMO Covered Call US
Banks ETF
|
ZWK
|
0.145
|
BMO Covered Call
Utilities ETF
|
ZWU
|
0.070
|
BMO Europe High
Dividend Covered Call ETF
|
ZWP
|
0.105
|
BMO Europe High
Dividend Covered Call Hedged to CAD ETF
|
ZWE
|
0.120
|
BMO Floating Rate High
Yield ETF
|
ZFH
|
0.100
|
BMO Global High
Dividend Covered Call ETF
|
ZWG
|
0.175
|
BMO Growth ETF (Fixed
Percentage Distribution Units)
|
ZGRO.T
|
0.160
|
BMO International
Dividend ETF
|
ZDI
|
0.080
|
BMO International
Dividend Hedged to CAD ETF
|
ZDH
|
0.090
|
BMO Monthly Income
ETF
|
ZMI
|
0.070
|
BMO Monthly Income ETF
(USD Units)*
|
ZMI.U
|
0.120
|
BMO Premium Yield
ETF
|
ZPAY
|
0.160
|
BMO Premium Yield ETF
(Hedged Units)
|
ZPAY.F
|
0.155
|
BMO Premium Yield ETF
(USD Units)*
|
ZPAY.U
|
0.160
|
BMO Ultra Short-Term
Bond ETF
|
ZST
|
0.200
|
BMO Ultra Short-Term US
Bond ETF (USD Units)*
|
ZUS.U
|
0.205
|
BMO USD Cash Management
ETF
|
ZUCM
|
0.136
|
BMO USD Cash Management
ETF (USD Units)*
|
ZUCM.U
|
0.135
|
BMO US Dividend
ETF
|
ZDY
|
0.080
|
BMO US Dividend ETF
(USD Units)*
|
ZDY.U
|
0.060
|
BMO US Dividend Hedged
to CAD ETF
|
ZUD
|
0.055
|
BMO US High Dividend
Covered Call ETF
|
ZWH
|
0.100
|
BMO US High Dividend
Covered Call ETF (USD Units)*
|
ZWH.U
|
0.105
|
BMO US High Dividend
Covered Call Hedged to CAD ETF
|
ZWS
|
0.090
|
BMO US Put Write
ETF
|
ZPW
|
0.125
|
BMO US Put Write ETF
(USD Units)*
|
ZPW.U
|
0.125
|
BMO US Put Write Hedged
to CAD ETF
|
ZPH
|
0.120
|
BMO Global Enhanced
Income Fund (ETF Series)
|
ZWQT
|
0.085
|
BMO Global Dividend
Opportunities Fund (Active ETF Series)
|
BGDV
|
0.034
|
BMO Global REIT Fund
(Active ETF Series)
|
BGRT
|
0.055
|
BMO Money Market Fund
(ETF Series)
|
ZMMK
|
0.200
|
BMO Global
Infrastructure Fund (Active ETF Series)
|
BGIF
|
0.050
|
*
|
Cash distribution per
unit ($) amounts are USD for ZJK.U, ZPR.U, ZIC.U, ZUAG.U,
ZUP.U, ZWB.U, ZMI.U, ZPAY.U, ZUS.U, ZUCM.U, ZDY.U, ZWH.U, and
ZPW.U.
|
Further information about BMO ETFs and ETF Series of the BMO
Mutual Funds can be found at www.bmo.com/etfs.
Commissions, management fees and expenses all may be associated
with investments in BMO ETFs and ETF Series of the BMO Mutual
Funds. Please read the ETF facts or prospectus of the relevant BMO
ETF or ETF Series before investing. BMO ETFs and ETF Series are not
guaranteed, their values change frequently, and past performance
may not be repeated.
For a summary of the risks of an investment in the BMO ETFs or
ETF Series of the BMO Mutual Funds, please see the specific risks
set out in the prospectus. BMO ETFs and ETF Series trade like
stocks, fluctuate in market value and may trade at a discount to
their net asset value, which may increase the risk of loss.
BMO ETFs are managed by BMO Asset Management Inc., which is an
investment fund manager and a portfolio manager, and a separate
legal entity from Bank of Montreal. ETF Series of the BMO Mutual Funds
are managed by BMO Investments Inc., which is an investment fund
manager and a separate legal entity from Bank of Montreal.
Distribution yields are calculated by using the most recent
regular distribution, or expected distribution, (which may be based
on income, dividends, return of capital, and option premiums, as
applicable) and excluding additional year end distributions, and
special reinvested distributions annualized for frequency, divided
by current net asset value (NAV). Distributions are not
guaranteed, may fluctuate and are subject to change and/or
elimination. Distribution rates may change without notice
(up or down) depending on market conditions and NAV
fluctuations. The payment of distributions should not be
confused with a BMO Mutual Fund's performance, rate of return or
yield. If distributions paid by a BMO Mutual Fund are greater than
the performance of the investment fund, your original investment
will shrink. Distributions paid as a result of capital gains
realized by a BMO Mutual Fund, and income and dividends earned by a
BMO Mutual Fund, are taxable in your hands in the year they are
paid. Your adjusted cost base will be reduced by the amount of
any returns of capital. If your adjusted cost base goes below zero,
you will have to pay capital gains tax on the amount below
zero.
Distributions, if any, for all series of securities of a BMO
Mutual Fund (other than ETF Series) are automatically reinvested in
additional securities of the same series of the applicable BMO
Mutual Fund, unless the securityholder elects in writing that that
they prefer to receive cash distributions. For ETF Series
securities of a BMO Mutual Fund, distributions, if any, may be paid
in cash or reinvested automatically in additional ETF Series
securities of the applicable BMO Mutual Fund and the ETF Series
securities will be immediately consolidated such that the number of
outstanding ETF Series securities following the distribution will
equal the number of ETF Series securities outstanding prior to the
distribution. If a securityholder is enrolled in a distribution
reinvestment plan, distributions, if any, will be automatically
reinvested in additional ETF Series securities of the applicable
BMO Mutual Fund pursuant to the distribution reinvestment plan. For
further information, see the distribution policy for the applicable
BMO Mutual Fund in the simplified prospectus.
"BMO (M-bar roundel symbol)" is a registered trademark of Bank
of Montreal, used under
license.
About BMO Global Asset Management
BMO Global Asset Management is a brand name under which BMO
Asset Management Inc. and BMO Investments Inc. operate. Certain of
the products and services offered under the brand name, BMO Global
Asset Management, are designed specifically for various categories
of investors in Canada and may not
be available to all investors.
About BMO Financial Group
BMO Financial Group is the eighth largest bank in North
America by assets, with total assets of $1.4 trillion as of April
30, 2024. Serving customers for 200 years and counting, BMO is a
diverse team of highly engaged employees providing a broad range of
personal and commercial banking, wealth management, global markets
and investment banking products and services to 13 million
customers across Canada, the United
States, and in select markets globally. Driven by a single
purpose, to Boldly Grow the Good in business and life, BMO
is committed to driving positive change in the world, and making
progress for a thriving economy, sustainable future, and inclusive
society.
SOURCE BMO Financial Group