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CI Enhanced Short Duration Bond Fund (TO: FSB)

 
FSB Technical Analysis
1
As on 27th Aug 2024 FSB STOCK Price closed @ 9.66 and we RECOMMEND N/A for LONG-TERM with Stoploss of 0.00 & N/A for SHORT-TERM with Stoploss of 0.00 we also expect STOCK to react on Following IMPORTANT LEVELS.
 
 

FSBSTOCK Price

Open 9.66 Change Price %
High 9.66 1 Day N/A N/A
Low 9.66 1 Week 0.00 0.00
Close 9.66 1 Month 0.00 0.00
Volume 119 1 Year 0.00 0.00
52 Week High 0.00 | 52 Week Low 0.00
 
TO Canada Most Active Stocks
YRI 7.89 0.13%
CNQ 49.67 %
MFC 36.84 %
SU 54.90 %
UEX 0.50 16.28%
BMO 112.04 %
SJR-B 40.48 0.02%
ENB 53.36 %
VFF 8.12 0.87%
BNS 67.22 %
 
TO Canada Top Gainers Stocks
UEX 0.50 16.28%
ORL 8.97 10.74%
ORL 8.97 10.74%
ORL 8.97 10.74%
ORL 8.97 10.74%
ORL 8.97 10.74%
ORL 8.97 10.74%
ORL 8.97 10.74%
CPI 0.44 10.00%
CPI 0.44 10.00%
 
TO Canada Top Losers Stocks
CWEB-WR 0.10 -16.67%
GTMS 0.97 -15.65%
AQA 0.08 -11.11%
AQA 0.08 -11.11%
AQA 0.08 -11.11%
AQA 0.08 -11.11%
RET-A 1.43 -10.62%
RET-A 1.43 -10.62%
TRL 0.24 -7.69%
TRL 0.24 -7.69%
 
 
FSB
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FSB
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FSB
Free Analysis
 
FSB Important Levels Intraday
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FSB Forecast October 2024
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FSB Weekly Forecast
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FSB Forecast2024
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CI Enhanced Short Duration Bond Fund ( TO Canada Symbol : FSB )
Sector : N/A And Other Stocks in Same Sector
 
FSB Other Details
Segment EQ
Market Capital 0.00
Sector
Industry
Offical website >
 
FSB Address
FSB
 
FSB Latest News
 
Your Comments and Response on CI Enhanced Short Duration Bond Fund
 
FSB Business Profile
FSB?s investment objective is to provide absolute returns through interest income and capital gains and its risk objective is to have very low volatility and positive returns over any twelve-month period. FSB will primarily invest in debt instruments across the credit spectrum including cash, government debt, investment-grade corporate debt, high-yield corporate debt, government debt futures, convertible debentures and credit derivatives. FSB?s strategy will primarily focus on U.S. and Canadian corporate bonds and will include the use of government bond futures to manage the duration of the fund according to the volatility objectives. To minimize interest rate volatility, FSB would typically target an overall portfolio duration of less than 2 years. Address:
 
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