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HAF - ETF Fact Sheet

Global X Active Global Fixed Income ETF - CAD

Fund Identification

Ticker

HAF

ISIN

CA37892Y1088

Main Metrics

Price

$6.87

Expense Ratio

0.59%

AuM

$63.39M

Tracking Difference

%

Ratings

Trackinsight rating

N/A

ESG Consensus®

This fund’s exact Final Sustainability Grade is available in Trackinsight Enterprise.
Learn more about Trackinsight Enterprise

Official Investment Strategy

HAF seeks to provide Unitholders with: (i) a stable stream of monthly distributions. and (ii) the opportunity for capital appreciation through a tactical asset allocation strategy that includes managing the duration and yield of its exposure to debt (including debt-like securities) according to the prevailing interest rate environment.

HAF's historical prices, performance, and flows

-2.0-1.5-1.0-0.50.0%
1m returns
-2.06%
1m flows
-$0M
* Net total returns
All data as of 24 March 2026

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HAF's characteristics

Manager

Manager statistics

482 funds, $152.49Bn in AUM

Asset class

Fixed Income

Dividend policy

Distributing

Meets ESG criteria

No

HAF's exposure

The HAF ETF is actively managed, so it doesn't track an index. We're working to retrieve all detailed holding information.

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