Hamilton U.S. T-Bill YIELD MAXIMIZER™ ETF

  • Ticker HBIL
  • Last Distribution $0.095

A High Yield Cash Alternative

HIGHLIGHTS

Last Distribution of $0.095*Last distribution per unit. Distributions are subject to change. For a complete list of historical distributions, please see the Distributions tab below.; monthly distributions

Exposure to U.S. treasuries (80% short-term T-Bills; 20% long-term)

Portfolio duration of ~3.5 years

Active covered call strategy managed by options team with 40+ years of experience, led by Nick Piquard

A GOOD FIT FOR INVESTORS WHO WANT

A higher yielding alternative to cash, HISAs, GICs, money market funds and T-Bills with modest duration risk

Tax efficient distributions: covered call premiums are generally taxed as capital gains

Reduced volatility from options strategy

CDN$ Hedged fixed income stream from short-term U.S. T-Bills

Also available for purchase in US$ Unhedged (HBIL.U)

INVESTMENT OBJECTIVE

The investment objective of HBIL is to deliver attractive monthly income, while providing exposure primarily, directly or indirectly, to shorter-term U.S. Treasury securities. To supplement income earned on the exchange traded fund holdings, mitigate risk and reduce volatility, HBIL will employ a covered call option writing program.

HBIL does not use leverage.

Performance

  • TICKER HBIL
  • NAV $15.28
  • 1 DAY CHANGE +$0.03
  • LAST DISTRIBUTION *

    Last distribution per unit. Distributions are subject to change. For a complete list of historical distributions, please see the Distributions tab below.

    $0.095
  • ASSETS $170.3M

Attractive Monthly Income

What Makes HBIL Different?

  • Overview
  • Distributions
  • Documents

Treasury Term

As at March 31, 2025

  Long-Term 20.2%
  Short-Term 79.8%

Holdings

As at March 31, 2025

tickernameweight
SGOViShares 0-3 Month Treasury Bond ETF80.7%
TLTiShares 20+ Year Treasury Bond ETF 20.4%

Fund Details

 

All Hamilton ETFs are available for purchase on the Toronto Stock Exchange (TSX), and can be used in RRSP, RRIF, DPSP, RDSP, FHSA, RESP and TFSA portfolios. To set up a DRIP, please contact your individual brokerage.
TickerHBIL
ExchangeToronto Stock Exchange (TSX)
CUSIP407873207
Inception DateSeptember 13, 2024
Investment StyleFixed Income, Covered Call
Net Assets$210.1M CAD*
DistributionsMonthly
Maturity5.4*
Duration3.4*
Currency Hedging100% hedged
Management Fee0.35%
Risk RatingLow
AuditorKPMG LLP
Legal Entity Identifier254900C4Y33NVRR2SS95

Distributions

HBIL distributions will be paid monthly in cash, or if the unitholder has enrolled in the dividend reinvestment plan (DRIP), reinvested in additional units of the ETF. To set up a DRIP, please contact your individual brokerage. The annual tax information is available here.
Ex-Dividend DatePay DateFrequencyAmount
2025-03-312025-04-07Monthly$0.0950
2025-02-282025-03-07Monthly$0.0950
2025-01-312025-02-07Monthly$0.0950
2024-12-312025-01-08Monthly$0.0950
2024-11-292024-12-06Monthly$0.0975
2024-10-312024-11-07Monthly$0.1000
2024-09-272024-10-07Monthly$0.1050

You can view public filings for the Hamilton U.S. T-Bill YIELD MAXIMIZER™ ETF on SEDAR+.

Press Releases

View the latest HBIL Press Releases

Fact Sheet

HBIL Fact Sheet (2025-03-31) English Français

ETF Facts

HBIL ETF Facts (2024-08-16) English Français

Prospectus

HBIL Prospectus (2024-08-16) English Français

Financial Statements & MRFP

Annual Report (2024-12-31) English Français

Latest Portfolio Summary

Q3 2024 Portfolio Summary (2024-09-30) Download

Independent Review Committee

2024 Annual Report to Securityholders (2025-03-11) Download

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