The ETF seeks to replicate, to the extent possible and before fees and expenses, the performance of a responsible bond index that tracks the investment returns of Canadian dollar-denominated investment grade bonds. Currently, SRIB seeks to replicate Solactive Responsible Canadian Bond Universe Liquid ex MPL TR Index
NAV $18.65
as of Aug 29, 2025
0.06 (0.31%)
1 Day NAV Change
$72.75M
Net Assets
as of Aug 29, 2025
3,900,000
Units Outstanding
as of Aug 29, 2025
Jan 13, 2022
Inception
0.10%
Management Fee

Why invest in Scotia Responsible Investing Canadian Bond Index ETF

  • Invest in a Canadian fixed income ETF that tracks a responsible index screened by a set of responsible investing criteria defined by the index provider
  • Seek broad market exposure in Canadian domiciled investment grade bonds
  • Use passive low cost responsible investing ETFs to build a diversified portfolio

Overview

  • Ticker
    SRIB
  • Inception
    Jan 13, 2022
  • Asset Class
    Canadian Fixed Income
  • Eligibility
    RRSP/RRIF/RESP/TFSA/RDSP/DPSP
  • Distribution Frequency
    Monthly
  • Fiscal year End
    December 31
  • Number of Holdings
    652

Risk Rating

  • Management Fee
    0.10%
  • MER
    0.15%
  • Exchange
    Cboe Canada
  • Currency
    CAD
  • CUSIP
    80929N109
  • Benchmark
    Solactive Broad Canadian Bond Universe Liquid ex MLP TR Index

Portfolio Management

  • Portfolio manager(s)
    1832-Asset-Management-LP
  • Sub Advisor
    SSGA Canada

Portfolio Analysis

as of Aug 31, 2025

  • Distribution Yield
    2.89%
  • 12 Month Trailing Yield
    2.62%

as of Jul 31, 2025

  • Weighted Average Duration
    7.08
  • Weighted Average Yield to Maturity
    3.55%
  • Weighted Average Maturity
    8.76
  • Weighted Average Coupon
    3.31%

Performance as of Aug 31, 2025

Compound Returns (%) as of Aug 31, 2025

1 mo3 mo6 mo1 yr3 Yr5 yr10 yrInception
0.4-0.3-1.22.63.60.5

Calendar Returns (%) as of Aug 31, 2025

20242023202220212020201920182017
4.06.2

Portfolio Breakdown as of Jul 31, 2025

Maturity Exposure (%)

1-5 years40.1
5-10 years35.3
More than 20 years16.9
10-20 years7.7

Top Holdings (%)

Gov. of Canada, 3.25%, 6/1/20351.8
Gov. of Canada, 1.25%, 6/1/20301.7
Gov. of Canada, 0.02%, 6/1/20311.5
Gov. of Canada, 2.00%, 2051/12/11.5
Gov. of Canada, 2.75%, 3/1/20301.4
Gov. of Canada, 3.25%, 12/1/20341.4
Gov. of Canada, 0.50%, 12/1/20301.3
Gov. of Canada, 3%, 2/1/20271.3
Gov. of Canada, 0.03%, 6/1/20341.3
Gov. of Canada, 2.75%, 5/1/20271.2

Historical Distribution 1

Data has updated. Row count is 42
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Historical Calendar Year Distributions ($/unit)

Distr.PeriodEligible Div.Non-eligible Div.Other IncomeCapital GainsReturn of CapitalForeign IncomeForeign Tax PaidTotal Distr. Per unit for Tax Purpose
20240.140.050.270.46
20230.420.42
20220.370.37

Literature

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