TDB659
$15.55
1.634%

TD European Index Fund - Investor Series
Key Data

Last updated: Jun 29, 2025, 8:29 AM ET

Price Metrics  

  • Open
  • Close
  • Prev. Close
    15.30
  • Day High/Low
    /
  • 52 Week High/Low
    15.55/12.963
  • Alpha
    0.001
  • Beta
    0.893
  • VWAP

Moving Averages  

  • 21 Day Moving Average
    15.302
  • 50 Day Moving Average
    15.073
  • 200 Day Moving Average
    14.19

Valuation Metrics  

  • Market Cap (All Classes)
  • AUM
  • EPS (TTM)
  • P/E Ratio (TTM)
    12.70
  • P/B Ratio
  • P/CF Ratio
    8.60
  • D/E Ratio
  • Return on Equity
    21.83%
  • Return on Assets
    7.49%

Share Statistics  

  • Total Shares (All Classes)
  • Listed Units Out
  • Escrow Shares
  • Volume
  • Consolidated Volume
  • 10 Day Avg Vol.
  • 20 Day Avg Vol.
  • 30 Day Avg Vol.
  • 50 Day Avg Vol.

Dividends  

  • Distribution (TTM)
  • Distribution Frequency
  • Distribution Yield (Ann)
  • Ex-Date
    2024-12-23
  • Payable date
  • Dividend Growth (3 Year)
  • Dividend Growth (5 Year)

Short Interest (as of -)  

  • Short Interest as % of Float
    -%
  • Short Interest Days to Cover
    -

Dividend History

Ex-Div-DateAmountDeclaration DateRecord DatePayable Date
Dec. 23, 20240.262---
Dec. 27, 20230.283---
Nov. 30, 2023----
Dec. 23, 20220.269---
Dec. 21, 20210.237---
Dec. 22, 20200.173---
Dec. 19, 20190.435---
Dec. 20, 20180.27---
Dec. 20, 20170.222---
Dec. 20, 20160.235---
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