Toronto - Free Realtime Quote • CAD IA Wealth Enhanced Bond Pool (0P0001Q3WC.TO) Follow 10.41 +0.02 +(0.19%) As of January 21 at 3:00:00 PM EST. Market Open. All News Press Releases SEC Filings All SEC Filings Corporate Changes & Voting Matters Periodic Financial Reports Proxy Statements Tender Offer/Acquisition Reports Offering Registrations iA Clarington Investments announces December 2024 cash and annual notional distributions for Active ETF Series IA Clarington Investments Inc. ("iA Clarington") today announced the December 2024 cash and annual capital gains notional distributions for its Active ETF Series. Unitholders of record as of December 30, 2024 will receive cash distributions payable on January 9, 2025. iA Clarington Investments announces estimated December 2024 cash and annual notional distributions for Active ETF Series IA Clarington Investments Inc. ("iA Clarington") today announced the December 2024 cash and annual capital gains notional distribution estimates for its Active ETF Series. Unitholders of record as of December 30, 2024 will receive cash distributions payable on January 9, 2025. iA Clarington Investments announces November 2024 distributions for Active ETF Series as well as arrangements to address mailing delays resulting from Canada Post strike IA Clarington Investments Inc. ("iA Clarington") today announced the November 2024 distributions for its Active ETF Series. Unitholders of record as of November 29, 2024 will receive cash distributions payable on December 10, 2024. iA Clarington Investments announces October 2024 distributions for Active ETF Series IA Clarington Investments Inc. ("iA Clarington") today announced the October 2024 distributions for its Active ETF Series. Unitholders of record as of October 31, 2024 will receive cash distributions payable on November 12, 2024. iA Clarington Investments announces September 2024 distributions for Active ETF Series IA Clarington Investments Inc. ("iA Clarington") today announced the September 2024 distributions for its Active ETF Series. Unitholders of record as of September 30, 2024 will receive cash distributions payable on October 9, 2024. Performance Overview Trailing returns as of 1/21/2025. Return 0P0001Q3WC.TO Category YTD +4.79% 0.00% 1-Year +4.79% 0.00% 3-Year 0.00% 0.00%