CI G5 20 2040 Q1 Fund Class A units logo

CI G5 20 2040 Q1 Fund Class A units (0P00015QVB)

Market Closed
11 Aug, 20:00
TSX TSX
CA$
5. 77
+0
+0.0659%
CA$
- Market Cap
0.72% Div Yield
0 Volume
CA$ 5.76
Previous Close
Add Transaction
Day Range
0 0
Year Range
0 6.37
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Name Ex-Dividend Date Dividend Payment Date Record Date Declaration Date Frequency
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 May 2026
6 May 2026
CA$0.04
13 May 2026
11 May 2026
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Apr 2026
7 Apr 2026
CA$0.04
14 Apr 2026
10 Apr 2026
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
12 Mar 2026
5 Mar 2026
CA$0.04
12 Mar 2026
9 Mar 2026
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
12 Feb 2026
5 Feb 2026
CA$0.04
12 Feb 2026
9 Feb 2026
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
31 Dec 2025
24 Dec 2025
CA$0.04
31 Dec 2025
29 Dec 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Dec 2025
4 Dec 2025
CA$0.04
11 Dec 2025
8 Dec 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Nov 2025
6 Nov 2025
CA$0.04
13 Nov 2025
10 Nov 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Oct 2025
6 Oct 2025
CA$0.04
14 Oct 2025
9 Oct 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
12 Sep 2025
5 Sep 2025
CA$0.04
12 Sep 2025
8 Sep 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Aug 2025
7 Aug 2025
CA$0.04
14 Aug 2025
11 Aug 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Jul 2025
7 Jul 2025
CA$0.04
14 Jul 2025
10 Jul 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
12 Jun 2025
5 Jun 2025
CA$0.04
12 Jun 2025
9 Jun 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 May 2025
6 May 2025
CA$0.04
13 May 2025
9 May 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Apr 2025
4 Apr 2025
CA$0.04
11 Apr 2025
7 Apr 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Mar 2025
6 Mar 2025
CA$0.04
13 Mar 2025
10 Mar 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Feb 2025
6 Feb 2025
CA$0.04
13 Feb 2025
10 Feb 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Jan 2025
7 Jan 2025
CA$0.04
14 Jan 2025
10 Jan 2025
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
12 Dec 2024
5 Dec 2024
CA$0.04
12 Dec 2024
9 Dec 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Nov 2024
6 Nov 2024
CA$0.04
13 Nov 2024
11 Nov 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Oct 2024
4 Oct 2024
CA$0.04
11 Oct 2024
7 Oct 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Sep 2024
6 Sep 2024
CA$0.04
13 Sep 2024
9 Sep 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Aug 2024
7 Aug 2024
CA$0.04
14 Aug 2024
12 Aug 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
12 Jul 2024
5 Jul 2024
CA$0.04
12 Jul 2024
8 Jul 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Jun 2024
6 Jun 2024
CA$0.04
13 Jun 2024
10 Jun 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 May 2024
6 May 2024
CA$0.04
13 May 2024
9 May 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Apr 2024
4 Apr 2024
CA$0.04
11 Apr 2024
8 Apr 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Mar 2024
6 Mar 2024
CA$0.04
13 Mar 2024
11 Mar 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Feb 2024
6 Feb 2024
CA$0.04
13 Feb 2024
9 Feb 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
12 Jan 2024
5 Jan 2024
CA$0.04
12 Jan 2024
8 Jan 2024
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Dec 2023
6 Dec 2023
CA$0.04
13 Dec 2023
11 Dec 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Nov 2023
6 Nov 2023
CA$0.04
13 Nov 2023
9 Nov 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
12 Oct 2023
5 Oct 2023
CA$0.04
12 Oct 2023
9 Oct 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Sep 2023
7 Sep 2023
CA$0.04
14 Sep 2023
11 Sep 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Aug 2023
4 Aug 2023
CA$0.04
11 Aug 2023
8 Aug 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Jul 2023
7 Jul 2023
CA$0.04
14 Jul 2023
10 Jul 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Jun 2023
6 Jun 2023
CA$0.04
13 Jun 2023
9 Jun 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 May 2023
4 May 2023
CA$0.04
11 May 2023
8 May 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Apr 2023
6 Apr 2023
CA$0.04
13 Apr 2023
10 Apr 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Mar 2023
6 Mar 2023
CA$0.04
13 Mar 2023
9 Mar 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Feb 2023
6 Feb 2023
CA$0.04
13 Feb 2023
9 Feb 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Jan 2023
6 Jan 2023
CA$0.04
13 Jan 2023
9 Jan 2023
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Dec 2022
6 Dec 2022
CA$0.04
13 Dec 2022
9 Dec 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Nov 2022
4 Nov 2022
CA$0.04
11 Nov 2022
7 Nov 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Oct 2022
6 Oct 2022
CA$0.04
13 Oct 2022
10 Oct 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Sep 2022
7 Sep 2022
CA$0.04
14 Sep 2022
12 Sep 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
12 Aug 2022
5 Aug 2022
CA$0.04
12 Aug 2022
8 Aug 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Jul 2022
7 Jul 2022
CA$0.04
14 Jul 2022
11 Jul 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Jun 2022
6 Jun 2022
CA$0.04
13 Jun 2022
9 Jun 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
12 May 2022
5 May 2022
CA$0.04
12 May 2022
9 May 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Apr 2022
6 Apr 2022
CA$0.04
13 Apr 2022
11 Apr 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Mar 2022
4 Mar 2022
CA$0.04
11 Mar 2022
7 Mar 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Feb 2022
4 Feb 2022
CA$0.04
11 Feb 2022
7 Feb 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Jan 2022
7 Jan 2022
CA$0.04
14 Jan 2022
10 Jan 2022
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Dec 2021
6 Dec 2021
CA$0.04
13 Dec 2021
9 Dec 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Nov 2021
4 Nov 2021
CA$0.04
11 Nov 2021
8 Nov 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Oct 2021
6 Oct 2021
CA$0.04
13 Oct 2021
11 Oct 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Sep 2021
7 Sep 2021
CA$0.04
14 Sep 2021
10 Sep 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Aug 2021
6 Aug 2021
CA$0.04
13 Aug 2021
9 Aug 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Jul 2021
7 Jul 2021
CA$0.04
14 Jul 2021
12 Jul 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Jun 2021
4 Jun 2021
CA$0.04
11 Jun 2021
7 Jun 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 May 2021
6 May 2021
CA$0.04
13 May 2021
10 May 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Apr 2021
7 Apr 2021
CA$0.04
14 Apr 2021
12 Apr 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Mar 2021
4 Mar 2021
CA$0.04
11 Mar 2021
8 Mar 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Feb 2021
4 Feb 2021
CA$0.04
11 Feb 2021
8 Feb 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Jan 2021
7 Jan 2021
CA$0.04
14 Jan 2021
11 Jan 2021
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Dec 2020
4 Dec 2020
CA$0.04
11 Dec 2020
7 Dec 2020
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
12 Nov 2020
5 Nov 2020
CA$0.04
12 Nov 2020
9 Nov 2020
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 Oct 2020
6 Oct 2020
CA$0.04
13 Oct 2020
9 Oct 2020
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Sep 2020
4 Sep 2020
CA$0.04
11 Sep 2020
8 Sep 2020
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Aug 2020
7 Aug 2020
CA$0.04
14 Aug 2020
10 Aug 2020
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
14 Jul 2020
7 Jul 2020
CA$0.04
14 Jul 2020
10 Jul 2020
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
11 Jun 2020
4 Jun 2020
CA$0.04
11 Jun 2020
8 Jun 2020
-
Other
CI G5 20 2040 Q1 Fund Class A units logo
0P00015QVB Paid
CI G5 20 2040 Q1 Fund Class A units
13 May 2020
6 May 2020
CA$0.04
13 May 2020
11 May 2020
-
Other

0P00015QVB Dividend FAQ

What is the dividend yield?

The current dividend yield for 0P00015QVB is 0.72%, based on the most recent dividend payment and the current stock price of CA$5.77 on the TSX.

How often are dividends paid?

CI G5 20 2040 Q1 Fund Class A units is not making dividend payments, so there is no set payment schedule.

When is the next dividend payment date?

CI G5 20 2040 Q1 Fund Class A units has not announced any upcoming dividend.

What is the dividend history?

The company has a dividend payment history that includes 6 years of consistent payments. The most recent payment was 0.0417 per share on 2026-05-06.

What is the average annual dividend growth rate?

The average annual dividend growth rate over the past 6 years is approximately 0.00%, reflecting the 0P00015QVB's commitment to rewarding shareholders.

How can I track 0P00015QVB dividends?

You can easily track 0P00015QVB dividend payments using our Dividend Tracker. It helps you monitor upcoming payment dates, yields, history, and more - all in one place.