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Purpose Cash Management Fund

MNY.TO

The fund is an actively managed portfolio primarily consisting of high-quality corporate debt instruments, known to be maturing in one year or less. In seeking a high rate of income with capital preservation and maintained liquidity, the fund may also hold, to a lesser degree, other short-term debt obligations of, or guaranteed by, the Canadian governments or their agencies, treasury bills or othe… read more

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ETF

Equity

- years

- holdings

Price

per share adjusted in CAD

$100.14

Price

+0.02%

$0.02

Market Cap

$2.077b

Mid

$8.914k

Avg Volume
Assets Under Management

$668.275m

$100.17

NAV

0.47%

Expense Ratio

Dividends

Ex-Dividend: July 29, 25

2.94%

Yield

$2.94

Dividend

Dividends

Dividend history
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