Claymore Inverse 10 Yr Government Bond ETF (CIB)
$17.34
Last Market Price: 1/31/12 9:45AM ET
($0.01) | -0.06 %
Change

FUND SUMMARY

The Claymore Inverse 10 Yr Government Bond ETF (TSX:CIB), has been designed to replicate the inverse (opposite) of the daily total return before fees, expenses and transaction costs of the 10 Year Government of Canada Bond on a non-leveraged basis (1:1 ratio of the assets to notional exposure).

The Claymore Inverse 10 Yr Government Bond ETF is very different from most other exchange-traded funds. It does not and should not be expected to return the inverse (i.e. -100%) of the return of the 10 Year Government of Canada Bond over any period of time other than daily.

FEATURED RESOURCES
FUND STATISTICS
as of 2/3/12
  MARKET PRICE NAV
Close $17.34 $17.50
Change $0.00 $0.10
52-Week High $20.17 $20.12
52-Week Low $17.34 $17.30
Bid/Ask Midpoint $17.50
Bid/Ask Premium (Discount) 0.00 %
Volume 0
Shares Outstanding 150,000
Total Managed Assets $2,624,301
Total Managed Assets (Common and Advisor) $2,624,301
As of September 15, 2011 volume is the daily volume summation of Toronto Stock Exchange and Alpha Trading Systems. Prior to September 15, 2011 volume displayed was that of the Toronto Stock Exchange only.  Figures are based on market close.


TOP FUND HOLDINGS
PROFILE
Ticker Symbol (Click for Intraday Price) CIB
Exchange TSX
CUSIP 18385G101
Inception Date 6/29/10
Income Distribution Return of Capital and Capital Gains
Distribution Schedule (if any) Annually
Management Fees 0.50 %
Management Expense Ratio (as of 6/30/11) 0.55 %
Fiscal Year-End 12/31
Investment Adviser Claymore Investments, Inc.
Index Name
Index Provider
RRSP, RRIF, RESP, DPSP, TFSA 100% Eligible
DRIP Offered Yes
PACC Offered Yes
SWP Offered Yes

Management Expense Ratio is the total percentage of fund assets used for administrative, management, marketing, and all other expenses.

DISTRIBUTION INFORMATION
There has been no initial distribution yet, therefore there is no data to display.
Commissions, trailing commissions, management fees and expenses all may be associated with fund investments. Please read the prospectus before investing. The indicated rate of return is the historical annual compounded total return including changes in unit value and reinvestment of all distributions and does not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns. Funds are not guaranteed, their values change frequently and past performance may not be repeated.