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  • Fund Type: ETF
  • Objective: Corporate
  • Asset Class: Fixed Income
  • Geographic Focus: Canada

PowerShares 1-5 Year Laddered Investment Grade Corporate Bond Index ETF

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PSB:CN

19.5800 CAD 0.0300 0.15%

As of 15:59:35 ET on 03/27/2015.

Snapshot for PowerShares 1-5 Year Laddered Investment Grade Corporate Bond Index ETF (PSB)

Open: 19.5500 High - Low: 19.5800 - 19.5500 Primary Exchange: Toronto
Volume: 57,652 52-Week Range: 19.2900 - 19.7200 Beta vs SPTSX: 0.3399

ETF Chart for PSB

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  • PSB:CN 19.5800
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19.5500
Interactive PSB Chart

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Fund Profile & Information for PSB

PowerShares 1-5 Year Laddered Investment Grade Corporate Bond Index is an exchange-traded fund incorporated in Canada. The Fund's objective is to seek to replicate, to the extent reasonably possible and before fees and expenses, the performance of the FTSE TMX Canada Investment Grade 1-5 Year Laddered Corporate Bond Index.

Inception Date: 2011-06-15 Telephone: 1-800-874-6275
Managers: -
Web Site: www.powershares.ca

Fundamentals for PSB

NAV (on 2015-03-27) 19.5480
Assets (M) (on 2015-03-27) 596.3258
Shares out (M) 30.51
Market Cap (M) 597.30
% Premium 0.16
Average 52-Week % Premium 0.1505
Fund Leveraged N

Dividends for PSB

Dividend Type Income
Dividend Frequency Monthly
Last Dividend Net (on 2015-03-26) 0.0655
Dividend Yield (ttm) 4.12%

Performance for PSB

1-Month -0.02% 1-Year +4.06%
3-Month +2.37% 3-Year +3.48%
Year To Date +2.00% 5-Year -
Expense Ratio 0.28

Top Fund Holdings for PSB

Filing Date: 03/26/2015
Name Position Value % of Total
BMO 2.84 06/04/20 24,418 25,676,945 4.381%
BCECN 3.35 06/18/19 24,008 25,394,704 4.333%
WFC 2.944 07/25/19 24,030 25,306,533 4.318%
RY 2.98 05/07/19 23,894 25,205,268 4.301%
MFCCN 4.448 12/15/26 24,035 25,123,822 4.287%
BAMACN 3.95 04/09/19 23,436 25,026,766 4.270%
BNS 4.1 06/08/17 23,599 24,941,958 4.256%
CAPDES 5.187 05/05/20 21,751 24,912,730 4.251%
SJRCN 5.65 10/01/19 21,611 24,878,952 4.245%
ENBCN 4.53 03/09/20 22,372 24,705,479 4.216%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

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