CI Investment Grade Bond Fund (Class A units) logo

CI Investment Grade Bond Fund (Class A units) (0P0001IT91)

Market Closed
XBER XBER
$
$
- Market Cap
0.3% Div Yield
- Volume
$
Previous Close
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Day Range
0 0
Year Range
0 0
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Name Ex-Dividend Date Dividend Payment Date Record Date Declaration Date Frequency
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
4 May 2026
24 Apr 2026
$0.03
4 May 2026
27 Apr 2026
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
7 Apr 2026
27 Mar 2026
$0.03
7 Apr 2026
30 Mar 2026
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
27 Feb 2026
20 Feb 2026
$0.03
27 Feb 2026
23 Feb 2026
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
30 Jan 2026
23 Jan 2026
$0.03
30 Jan 2026
26 Jan 2026
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
29 Dec 2025
19 Dec 2025
$0.03
29 Dec 2025
22 Dec 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
28 Nov 2025
21 Nov 2025
$0.03
28 Nov 2025
24 Nov 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
31 Oct 2025
24 Oct 2025
$0.01
31 Oct 2025
27 Oct 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
6 Oct 2025
26 Sep 2025
$0.03
6 Oct 2025
29 Sep 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
29 Aug 2025
22 Aug 2025
$0.01
29 Aug 2025
25 Aug 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
1 Aug 2025
25 Jul 2025
$0.03
1 Aug 2025
28 Jul 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
4 Jul 2025
27 Jun 2025
$0.03
4 Jul 2025
30 Jun 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
30 May 2025
23 May 2025
$0.03
30 May 2025
26 May 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
2 May 2025
25 Apr 2025
$0.03
2 May 2025
28 Apr 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
4 Apr 2025
28 Mar 2025
$0.03
4 Apr 2025
31 Mar 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
28 Feb 2025
21 Feb 2025
$0.01
28 Feb 2025
24 Feb 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
31 Jan 2025
24 Jan 2025
$0.03
31 Jan 2025
27 Jan 2025
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
27 Dec 2024
20 Dec 2024
$0.01
27 Dec 2024
23 Dec 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
29 Nov 2024
22 Nov 2024
$0.01
29 Nov 2024
25 Nov 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
1 Nov 2024
25 Oct 2024
$0.01
1 Nov 2024
28 Oct 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
4 Oct 2024
27 Sep 2024
$0.01
4 Oct 2024
30 Sep 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
30 Aug 2024
23 Aug 2024
$0.01
30 Aug 2024
26 Aug 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
2 Aug 2024
26 Jul 2024
$0.01
2 Aug 2024
29 Jul 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
28 Jun 2024
21 Jun 2024
$0.01
28 Jun 2024
24 Jun 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
31 May 2024
24 May 2024
$0.01
31 May 2024
27 May 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
3 May 2024
26 Apr 2024
$0.01
3 May 2024
29 Apr 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
2 Apr 2024
22 Mar 2024
$0.02
2 Apr 2024
25 Mar 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
1 Mar 2024
23 Feb 2024
$0.03
1 Mar 2024
26 Feb 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
2 Feb 2024
26 Jan 2024
$0.02
2 Feb 2024
29 Jan 2024
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
22 Dec 2023
15 Dec 2023
$0.03
22 Dec 2023
18 Dec 2023
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
1 Dec 2023
24 Nov 2023
$0.03
1 Dec 2023
27 Nov 2023
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
3 Nov 2023
27 Oct 2023
$0.03
3 Nov 2023
30 Oct 2023
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
29 Sep 2023
22 Sep 2023
$0.01
29 Sep 2023
25 Sep 2023
-
Other
CI Investment Grade Bond Fund (Class A units) logo
0P0001IT91 Paid
CI Investment Grade Bond Fund (Class A units)
1 Sep 2023
25 Aug 2023
$0.01
1 Sep 2023
28 Aug 2023
-
Other

0P0001IT91 Dividend FAQ

What is the dividend yield?

There is currently no dividend yield for 0P0001IT91, as CI Investment Grade Bond Fund (Class A units) is not paying dividends.

How often are dividends paid?

CI Investment Grade Bond Fund (Class A units) is not making dividend payments, so there is no set payment schedule.

When is the next dividend payment date?

CI Investment Grade Bond Fund (Class A units) has not announced any upcoming dividend.

What is the dividend history?

The company has a dividend payment history that includes 2 years of consistent payments. The most recent payment was 0.025 per share on 2026-04-24.

What is the average annual dividend growth rate?

The average annual dividend growth rate over the past 2 years is approximately 29.80%, reflecting the 0P0001IT91's commitment to rewarding shareholders.

How can I track 0P0001IT91 dividends?

You can easily track 0P0001IT91 dividend payments using our Dividend Tracker. It helps you monitor upcoming payment dates, yields, history, and more - all in one place.