CIBC Qx International Low Volatility Dividend ETF

  • CQLI



Investment objective

This ETF seeks current income and long-term capital growth by investing primarily in foreign equity securities located in Europe, the Far East, and the Pacific Rim that are expected to provide regular income from dividends, while seeking to reduce volatility.

Why consider this ETF?

  • Invest in international equities that pay a dividend while mitigating the impact of market volatility
  • Enjoy a steady stream of regular income
  • Benefit from an investment management approach that is grounded in data science with systemic rebalancing, ensuring that manager bias does not impact portfolios

Fund snapshot (PDF, 475 KB) Opens in a new window.

Fund profile (PDF, 430 KB) Opens in a new window.

The low volatility effect – pursuing a smoother investment experience (PDF, 315 KB) Opens in a new window.

Net Assets  
Closing Market Price  
Closing NAV Price  
12 Month low/high Market Price  
12 Month low/high NAV Price  
Market Volume  
Units Outstanding  
Inception Date 11/16/2021 
Risk Tolerance Medium 
Base Currency CAD 
Exchange NEO Exchange 
Index MSCI EAFE Index 
CUSIP 12567B105 
Management Fee 0.40% 
Management Expense Ratio (MER) 0.46%
Eligible for Registered Plans Yes 
Dividend Yield  
Average Price to Book Value  
Average Price to Earnings  
Distribution Yield  
Distribution Frequency Monthly 

Asset Allocation

        Note: Only top 10 allocations are shown. Charts may not add up to 100% due to rounding or use of derivatives in the fund.

        Historical Distributions