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HSAV - ETF Fact Sheet

Global X Cash Maximizer Corporate Class ETF - CAD

Fund Identification

Ticker

HSAV

ISIN

CA3799391014

Main Metrics

Price

$117.67

Expense Ratio

0.2%

AuM

$1,926.79M

Tracking Difference

%

Ratings

Trackinsight rating

N/A

Official Investment Strategy

HSAV seeks to generate modest capital growth by investing primarily in high interest deposit accounts with Canadian banks. While any decision to pay dividends or other distributions is within the discretion of the Manager, HSAV is not currently expected to make any regular distributions.

HSAV's historical prices, performance, and flows

0.00.10.10.1%
1m returns
0.15%
1m flows
$0M
* Net total returns
All data as of 17 July 2026

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HSAV's characteristics

Manager

Manager statistics

516 funds, $161.84Bn in AUM

Asset class

Fixed Income

Dividend policy

Capitalization

HSAV's exposure

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

0.1%