ZDV.TO
BMO Canadian Dividend ETF
Diversified ETF · Fund / ETF · Canada · ETF
Score Pending — Limited Data
We do not currently have enough commercially displayable fund-specific data to calculate a reliable score. This is not a negative assessment of the ETF.
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Categories Without Displayable Evidence
Fund Overview
ZDV is a Canadian dividend-equity fund managed by BMO Global Asset Management, designed to give investors exposure to established Canadian dividend-paying companies selected using a rules-based methodology developed by the fund manager rather than a licensed third-party index.
Index Strategy
ZDV's portfolio is constructed using a proprietary, rules-based methodology developed by BMO Global Asset Management that considers factors such as dividend yield, dividend growth over a multi-year period, and payout ratio, rather than tracking a licensed benchmark from an independent index provider.
Geographic Exposure
All underlying holdings are companies listed on Canadian exchanges; the fund does not hold securities listed on foreign exchanges.
Principal Risks
As a fund whose index methodology screens or weights constituents by dividend yield, dividend growth history, or payout characteristics, ZDV.TO carries sector-concentration risk (Canadian dividend-oriented indices are often weighted toward financials, energy, telecom, and utilities), the general risk that current dividend policies can be reduced or discontinued by underlying issuers, and single-country equity-market risk.
Source Documents
- BMO Canadian Dividend ETF — official fund product page — BMO Global Asset Management (2026-07-29)
This report is for educational and research purposes only. It does not constitute financial, investment, legal, or tax advice — always conduct your own due diligence before making investment decisions.