
CAB.A - Advantaged Canadian Bond Index Fund
The Fund utilizes a Forward Agreement structure with a Canadian chartered bank or an affiliate thereof in order to provide exposure to the performance of its applicable index. Amounts equal to the income generated by the portfolio of the index (interest and/or foreign income) will be paid to Unitholders of the ETF primarily as return of capital distributions and as distributions of capital gains. Depending upon the application of a proposed measure in the 2013 Federal Budget relating to any extension or replacement of the Forward Agreement following the Budget date, such distributions may be treated as ordinary income.
Quote
Historical Prices|
Market Price as of 04-Jun-2013 |
NAV as of 18-Jun-2013 |
|
|---|---|---|
| Close | $20.45 | $20.45 |
| Change | $0.03 0.15% | -$0.02 -0.07% |
| 52-week Range | 20.42 - 21.05 | 20.37 - 21.04 |
Top Daily Holdings*
as of 17-Jun-2013
View all holdings
| Holding | % of Fund | Coupon | Maturity | Ratings |
|---|---|---|---|---|
| CANADA (GOVERNMENT OF) | 1.38% | 4.00 | 01-Jun-2041 | AAA |
| CANADA (GOVERNMENT OF) | 1.34% | 3.75 | 01-Jun-2019 | AAA |
| CANADA (GOVERNMENT OF) | 1.26% | 5.00 | 01-Jun-2037 | AAA |
| CANADA (GOVERNMENT OF) | 1.11% | 5.75 | 01-Jun-2033 | AAA |
| CANADA (GOVERNMENT OF) | 1.09% | 2.00 | 01-Dec-2014 | AAA |
| CANADA (GOVERNMENT OF) | 1.05% | 5.75 | 01-Jun-2029 | AAA |
| CANADA (GOVERNMENT OF) | 1.02% | 3.50 | 01-Jun-2020 | AAA |
| CANADA HOUSING TRUST NO.1 | 0.95% | 2.75 | 15-Jun-2016 | AAA |
| CANADA (GOVERNMENT OF) | 0.93% | 1.00 | 01-Feb-2015 | AAA |
| CANADA (GOVERNMENT OF) | 0.88% | 3.25 | 01-Jun-2021 | AAA |
| Total: | 11.01% |
Sector Breakdown
as of 17-Jun-2013
View all holdings
|
Sector % of Fund |
Sector % of Fund |
|||
|---|---|---|---|---|
|
|
||||
|
Federal
|
34.98% |
Energy
|
1.30% | |
|
Financial
|
31.69% |
Industrial
|
0.56% | |
|
Provincial
|
24.25% |
Communication
|
0.50% | |
|
Infrastructure
|
3.26% |
Real Estate
|
0.39% | |
|
Securitization
|
1.86% |
Municipal
|
0.37% | |
Maturity
as of 17-Jun-2013
View all holdings
| Timeframe | % of Maturity |
|---|---|
| 0 - 1 Year | 0.00% |
| 1 - 5 Years | 49.31% |
| 5 - 10 Years | 26.20% |
| 10 - 15 Years | 4.04% |
| 15 - 20 Years | 4.49% |
| 20 - 25 Years | 4.12% |
| 25+ Years | 11.11% |
| Average: | 8.21 Years |
Yield
as of 17-Jun-2013
View all distributions
| % of Yield | |
|---|---|
| Distribution Yield | 2.11% |
| 12-Month Trailing Yield | 2.30% |
| Weighted Average Yield to Maturity (%) | 2.25% |
Fundamentals & Risk as of 17-Jun-2013
| Weighted Average Term | 8.21 |
| Weighted Average Coupon (%) | 3.57% |
| Weighted Average Duration (yrs) | 6.06 |
Profile
as of 18-Jun-2013| Assets Under Management | $10,223,877 |
| Fiscal Year End | 31-Dec-2013 |
| Units Outstanding | 500,000 |
| Number of Holdings | 347 |
| Inception Date | 18-Nov-2009 |
| Index Provider | PC Bond |
| Underlying Index | DLUX Capped Bond Index |
Fees & Expenses
| Management Fee | 0.80% | |
| Management Expense Ratio (MER) | 0.87% | |
| Service Fee | 0.50% | |
| Forward Structure Costs | 0.55% to 0.75% | |
Distribution Information as of 17-Jun-2013
| Program Eligibility* | DRIP / PACC / SWP |
| Eligible for Registered Plans | Yes** |
| Distribution Frequency | Monthly |
| Last Distribution per Share | $0.03600 |
| Distribution Yield | 2.11% |
| Last Date Paid | 28-Jun-2013 |
**Investors should consult their plan operator to verify whether their specific account supports investments in iShares ETFs.
Trading Information
| Ticker | CAB.A |
| Underlying Index | DLUX Capped Bond Index |
| Exchange | Toronto Stock Exchange |
| CUSIP | 46432H202 |
| Listed Options | N |
Ratings
as of 17-Jun-2013| Ratings | % of Fund |
|---|---|
| AAA | 40.38% |
| AA | 30.77% |
| A | 27.77% |
| BBB | 0.00% |
| BB | 0.00% |
| B | 0.00% |
| CCC | 0.00% |
| CC | 0.00% |
| C | 0.00% |
| D | 0.00% |
| Other | 0.00% |

