Scotia Asset Management sets September 2026 cash distributions for Scotia ETFs on Cboe Canada
BNS•September 2026 cash distributions set for Scotia ETFs
The Bank of Nova Scotia’s Scotia Global Asset Management set September 2026 cash distributions for Scotia ETFs listed on Cboe Canada.
Unitholders of record on Sept. 24 receive payments on Oct. 2.
Monthly payouts include SITB at $0.05 per unit and SRIB at $0.05 per unit.
Quarterly payouts include SITC at $0.24 per unit, SITE at $0.35 per unit and SITI at $0.16 per unit.




