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Last close · CAD ·
CA$25.90
A Canadian bond fund, unhedged.
Interest-rate-sensitive bond exposure.The fund keeps a rolling mix of bonds instead of winding down to one maturity date. It tracks the FTSE Canada Short Term Corporate Bond Index.
Holdings →What can affect the returnHistorical returns and available risk measures are shown for the selected period.
Performance →The cost to manage itThe issuer-reported management expense ratio (MER) is 0.11% per year.
Fund facts →Loading performance…
This fund does not make cash distributions. Its return is reflected in its unit price, so cash payouts and distribution tax character do not apply.
Explore income & tax →Interest-rate-sensitive bond exposure. The fund keeps a rolling mix of bonds instead of winding down to one maturity date. It tracks the FTSE Canada Short Term Corporate Bond Index.
| Fee | 0.10% per year | facts ↓ |
| Currency | CAD-unhedged | facts ↓ |
| How it's built | Direct | holdings ↓ |
From the fund's own published holdings. As of 2026-08-06.
This fund makes no cash distribution, so there is no cash yield to decode.
Explore performance & risk →| Ticker | ZCS.L.TO |
| Exchange | TSX |
| Currency | CAD |
| FX strategy | CAD-unhedged |
| Asset class | Fixed Income |
| Structure | Direct |
| Theme | Investment Grade Corporate |
| Geography | Canada |
| Index tracked | FTSE Canada Short Term Corporate Bond Index |
| Provider | BMO ETF |
| Listed | 2017 |
| MER | 0.11% |
| MER reporting date | 2025-06-30 |
| MER source | Issuer-reported |
| Management fee | 0.10% |
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