Bulletin de la Bourse
Harvest Space Innovation Index ETF (ORBT, ORBT.U) inscrit à la Bourse de Toronto
Issuer: Harvest Space Innovation Index ETF (the "ETF")
Security | Symbol | Issued and Outstanding Securities | Reserved Securities | Issue Price |
---|---|---|---|---|
Class A units | ORBT | 50,000 | None | C$20.00 |
Class U units | ORBT.U | 50,000 | None | US$20.00 |
Listing category: | Non-Corporate |
Trading currency: | CDN$, US$ |
Transaction: | Initial public offering of Class A Units and Class U Units (collectively, the "Units") (the "Offering") |
Listing date: | March 31, 2021 (as at 5:01 pm) in anticipation of closing of the Offering. |
Anticipated closing date: | April 1, 2021 (prior to the opening) |
Posted for trading date: | April 1, 2021 (at the opening) subject to confirmation of closing of the Offering. |
Other market(s): | None |
Designated market maker: | CIBC World Markets Inc. |
Security ownership registration: | CDS book-entry only system |
Investor relations: | Michael Kovacs (416) 649-4541 info@harvestportfolios.com |
Incorporation: | The ETF is an exchange-traded mutual fund trust established under the laws of the Province of Ontario on March 29, 2021, pursuant to an amended and restated declaration of trust |
Manager and Trustee: | Harvest Portfolios Group Inc. |
Fiscal year end: | December 31 |
Nature of business: | The ETF seeks to replicate, to the extent reasonably possible and before fees and expenses, the performance of the Solactive Space Innovation Index. The Solactive Space Innovation Index primarily includes issuers that are engaged in the development of products and services related to satellites, space probes, space launches, space flight & tourism, space stations & habitats and other space exploration related issuers that are listed on a regulated stock exchange in North America and select global developed markets |
Transfer agent and registrar: | State Street Trust Company Canada at its principal office in Toronto |
Distributions: | Cash distributions of income, if any, on Units are expected to be made annually. |
Sponsorship: | Not applicable |
Offering document: | Prospectus dated March 29, 2021, which is available at . Capitalized terms not otherwise defined herein are as defined in the Prospectus. |
Additional Information: | Class U units will be quoted and traded on ÍÃ×ÓÏÈÉú in US funds and trading information regarding the Class U units will appear under the heading "Trading in US Funds" in the TSX Monthly Review. |
Initial public offering: | Units will be issued and sold on a continuous basis. A Unit of the ETF represents an undivided interest in the net assets of the ETF. The ETF is entitled to issue an unlimited number of Units. Units sold in connection with the initial public offering for the ETF will amount to 50,000 Units at a price of $20.00 per Class A Unit and US$20.00 per Class U Unit. |
TSX contact: | Chris Birkett, Managing Director, ÍÃ×ÓÏÈÉú. |