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$6.60 $0.01 (0.19%)

Quote as of

Criterion Gl Div Cur Hd P

CMF:CRI-GDP

Previous Close $6.59

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CRI-GDP Information

Description
The Fund's investment portfolio will be constituted and managed substantially in accordance with the rules governing the construction of the RIS Index, excluding the call option writing program within the RIS Index. The RIS Index is reset on the first business day in March of each year on the following basis: the percentage of the FTSE Global 100 Index represented by each of 10 business sectors is determined.