Scotiabank announces August cash distribution of $0.05 per unit for SRIB ETF
BNS•August 2026 cash distributions for two Scotia ETFs
The Bank of Nova Scotia’s Scotia Global Asset Management set August 2026 monthly cash distributions for two Scotia ETFs.
- Scotia Canadian Bond Index Tracker ETF (SITB) distribution set at $0.05 per unit; record date Aug. 26; payable Sept. 2.
- Scotia Responsible Investing Canadian Bond Index ETF (SRIB) distribution set at $0.05 per unit; record date Aug. 26; payable Sept. 2.




