BMO Announces Cash Distributions for Certain BMO ETFs and ETF Series of BMO Mutual Funds for January 2026
The ex-dividend date and record date for all BMO ETFs and
Details of the per unit cash distribution amount are as follows:
Monthly Distributions
|
FUND NAME |
FUND TICKER |
CASH DISTRIBUTION PER UNIT $ |
|
BMO AAA CLO ETF |
ZAAA |
0.126 |
|
BMO AAA CLO ETF (Hedged Units) |
ZAAA.F |
0.124 |
|
BMO AAA CLO ETF (USD Units)* |
ZAAA.U |
0.126 |
|
|
ZAG |
0.039 |
|
|
ZBAL.T |
0.049 |
|
BMO BBB CLO ETF |
ZBBZ |
0.163 |
|
BMO BBB CLO ETF (Hedged Units) |
ZBBZ.F |
0.162 |
|
BMO BBB CLO ETF (USD Units)* |
ZBBZ.U |
0.163 |
|
BMO Canadian Core Plus US Balanced ETF |
ZBCB |
0.060 |
|
|
ZDV |
0.070 |
|
|
ZWC |
0.105 |
|
|
ZMBS |
0.074 |
|
|
ZWB |
0.120 |
|
|
ZWB.U |
0.140 |
|
|
ZWA |
0.130 |
|
|
ZWEN |
0.220 |
|
|
ZWHC |
0.160 |
|
|
ZWGD |
0.145 |
|
|
ZWT |
0.245 |
|
|
ZWK |
0.145 |
|
BMO Covered Call Utilities ETF |
ZWU |
0.070 |
|
|
ZDB |
0.022 |
|
|
ZEF |
0.042 |
|
|
ZEB |
0.146 |
|
|
ZRE |
0.089 |
|
|
ZUT |
0.069 |
|
BMO Europe High Dividend Covered Call ETF |
ZWP |
0.105 |
|
|
ZWE |
0.120 |
|
|
ZFH |
0.061 |
|
|
BGDV |
0.034 |
|
BMO Global Enhanced Income Fund ( |
ZWQT |
0.085 |
|
|
ZWG |
0.175 |
|
|
BGIF |
0.050 |
|
|
BGRT |
0.055 |
|
|
ZGRO.T |
0.058 |
|
|
ZHY |
0.060 |
|
|
ZJK |
0.102 |
|
|
ZJK.U |
0.096 |
|
|
ZDI |
0.080 |
|
|
ZDH |
0.080 |
|
|
ZPR |
0.056 |
|
|
ZPR.U |
0.090 |
|
|
ZLC |
0.056 |
|
|
ZFL |
0.027 |
|
|
ZPL |
0.035 |
|
|
ZCM |
0.057 |
|
|
ZFM |
0.033 |
|
|
ZMP |
0.040 |
|
|
ZMU |
0.048 |
|
|
ZIC |
0.069 |
|
|
ZIC.U |
0.051 |
|
|
ZMMK |
0.100 |
|
|
ZMI |
0.063 |
|
|
ZMI.U |
0.038 |
|
|
ZPAY |
0.200 |
|
|
ZPAY.F |
0.175 |
|
BMO Premium Yield ETF (USD Units)* |
ZPAY.U |
0.180 |
|
|
ZRR |
0.051 |
|
|
ZCS |
0.047 |
|
|
ZFS |
0.029 |
|
|
ZPS |
0.025 |
|
|
ZSU |
0.049 |
|
|
ZST |
0.099 |
|
BMO Ultra Short-Term US Bond ETF (USD Units)* |
ZUS.U |
0.160 |
|
|
ZUAG |
0.074 |
|
|
ZUAG.F |
0.068 |
|
BMO US Aggregate Bond Index ETF (USD Units)* |
ZUAG.U |
0.071 |
|
BMO US Dividend ETF |
ZDY |
0.070 |
|
|
ZDY.U |
0.050 |
|
BMO US Dividend Growth ETF |
ZBDU |
0.070 |
|
BMO US Dividend Growth ETF (Hedged Units) |
ZBDU.F |
0.070 |
|
|
ZUD |
0.045 |
|
|
ZWH |
0.130 |
|
BMO US High Dividend Covered Call ETF (USD Units)* |
ZWH.U |
0.125 |
|
|
ZWS |
0.105 |
|
|
ZHP |
0.078 |
|
|
ZUP |
0.092 |
|
|
ZUP.U |
0.086 |
|
|
ZPW |
0.125 |
|
|
ZPW.U |
0.125 |
|
|
ZPH |
0.120 |
|
|
ZUCM |
0.089 |
|
|
ZUCM.U |
0.087 |
*Cash distribution per unit ($) amounts are USD for ZAAA.U, ZBBZ.U, ZJK.U, ZPR.U, ZIC.U, ZUAG.U, ZUP.U, ZWB.U, ZMI.U, ZPAY.U, ZUS.U, ZDY.U, ZWH.U, ZPW.U, and ZUCM.U.
1 BMO ETFs are managed by
The Dow Jones Industrial Average Index CAD Hedged is a product of
Further information about BMO ETFs and
Commissions, management fees and expenses all may be associated with investments in BMO ETFs and
Distribution rates may change without notice (up or down) depending on market conditions. The payment of distributions should not be confused with an investment fund's performance, rate of return or yield. If distributions paid by an investment fund are greater than the performance of the fund, your original investment will shrink.
Distributions of net income and net taxable gains of the BMO ETF or the
"BMO (M-bar roundel symbol)" is a registered trademark of
About BMO Financial Group
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