Key Facts
As at 2025/12/05
TICKER
HBIE
TSX
CURRENCY
CAD-Hedged
Underlying ETFs
NAV
$23.80
Updated Daily
MKT PRICE CLOSE
$23.79
Updated Daily
NET AUM
$11.90M
Updated Daily
MGMT STYLE
Active
with Covered Calls (underlying ETFs)
CASH DISTRIBUTION
Monthly
Frequency
LAST DISTRIBUTION
$0.2000
Cash, Per Unit
CURRENT YIELD
10.09%
Updated Daily
DISTRIBUTION
$4.0000
Total, Since Inception
Key Facts
As at 2025/12/05
TICKER
HBIE
TSX
CURRENCY
CAD-Hedged
Underlying ETFs
NAV
$23.80
Updated Daily
MKT PRICE CLOSE
$23.79
Updated Daily
NET AUM
$11.90M
Updated Daily
MGMT STYLE
Active
with Covered Calls (underlying ETFs)
CASH DISTRIBUTION
Monthly
Frequency
LAST DISTRIBUTION
$0.2000
Cash, Per Unit
CURRENT YIELD
10.09%
Updated Daily
DISTRIBUTION
$4.0000
Total, Since Inception
Key Facts
As at 2025/12/05
TICKER
HBIE
TSX
CURRENCY
CAD-Hedged
Underlying ETFs
NAV
$23.80
Updated Daily
MKT PRICE CLOSE
$23.79
Updated Daily
NET AUM
$11.90M
Updated Daily
MGMT STYLE
Active
with Covered Calls (underlying ETFs)
CASH DISTRIBUTION
Monthly
Frequency
LAST DISTRIBUTION
$0.2000
Cash, Per Unit
CURRENT YIELD
10.09%
Updated Daily
DISTRIBUTION
$4.0000
Total, Since Inception
Distributions
|
Last Ex-dividend Date: 2025/11/28 |
|
Last Record Date: 2025/11/28 |
|
Last Payment Date: 2025/12/05 |
|
Last Cash Distribution Per Unit: $0.2000 |
|
Cash Distribution Frequency: Monthly |
|
Cash Distributions Since Inception: $4.0000 |
| Ex-dividend Date | Record Date | Payment Date | Class A | Distribution Frequency |
|---|---|---|---|---|
| 2025/11/28 | 2025/11/28 | 2025/12/05 | $0.2000 | Monthly |
| 2025/10/31 | 2025/10/31 | 2025/11/06 | $0.2000 | Monthly |
| 2025/09/29 | 2025/09/29 | 2025/10/09 | $0.2000 | Monthly |
| 2025/08/29 | 2025/08/29 | 2025/09/09 | $0.2000 | Monthly |
| 2025/07/31 | 2025/07/31 | 2025/08/08 | $0.2000 | Monthly |
| 2025/06/30 | 2025/06/30 | 2025/07/09 | $0.2000 | Monthly |
| 2025/05/30 | 2025/05/30 | 2025/06/09 | $0.2000 | Monthly |
| 2025/04/30 | 2025/04/30 | 2025/05/09 | $0.2000 | Monthly |
| 2025/03/31 | 2025/03/31 | 2025/04/09 | $0.2000 | Monthly |
| 2025/02/28 | 2025/02/28 | 2025/03/07 | $0.2000 | Monthly |
| 2025/01/31 | 2025/01/31 | 2025/02/07 | $0.2000 | Monthly |
| Ex-dividend Date | Record Date | Payment Date | Class A | Distribution Frequency |
|---|---|---|---|---|
| 2024/12/31 | 2024/12/31 | 2025/01/09 | $0.2000 | Monthly |
| 2024/11/29 | 2024/11/29 | 2024/12/09 | $0.2000 | Monthly |
| 2024/10/31 | 2024/10/31 | 2024/11/08 | $0.2000 | Monthly |
| 2024/09/27 | 2024/09/27 | 2024/10/09 | $0.2000 | Monthly |
| 2024/08/30 | 2024/08/30 | 2024/09/09 | $0.2000 | Monthly |
| 2024/07/31 | 2024/07/31 | 2024/08/09 | $0.2000 | Monthly |
| 2024/06/28 | 2024/06/28 | 2024/07/09 | $0.2000 | Monthly |
| 2024/05/31 | 2024/05/31 | 2024/06/07 | $0.2000 | Monthly |
| 2024/04/29 | 2024/04/30 | 2024/05/09 | $0.2000 | Monthly |
Sub-Sector Allocation
Underlying ETFs - As at November 28, 2025
Holdings
As at November 28, 2025
Annualized Performance
As at November 30, 2025
| Ticker | 1M | 3M | 6M | YTD | 1Y | SI |
|---|---|---|---|---|---|---|
| HBIE | 1.63 | 4.43 | 9.83 | 11.07 | 5.23 | 10.42 |
Cumulative Market Price#
(Monthly Distribution: $0.2000)
Cumulative Growth $10,000 Invested
(NAV pricing)
The “Growth of $10,000 invested” chart shows the final value of a hypothetical $10,000 investment in securities in this class/series of the fund as at the end of the investment period indicated and is not intended to reflect future values or returns on investment in such securities.
HBIE Historical Daily Prices (CLICK HERE)
Documents
| Document | Language | Type | |
|---|---|---|---|
| Product Sheet | English | French | Fund Documents |
| ETF Facts | English | French | Regulatory |
| Prospectus | English | French | Regulatory |
| ETF Products Booklet | English | French | Information Materials |
| Covered Call Writing | English | French | Information Materials |
| MER Summary | English | French | Information Materials |
| 2025 Quarterly Summary - Q1 | English | - | Portfolio Disclosure |
| 2025 Quarterly Summary - Q3 | English | - | Portfolio Disclosure |
| 2024 Annual Distributions Summary | English | - | Information Materials |
| 2025 Interim Financial Statements | English | French | Statements/MRFPs |
| 2025 Interim Management Report of Fund Performance | English | French | Statements/MRFPs |
| 2024 Annual Financial Statements | English | French | Statements/MRFPs |
| 2024 Annual Management Report of Fund Performance | English | French | Statements/MRFPs |
| IRS Form 8937 | English | - | Tax |
| PFIC Annual Information Statement | English | - | Regulatory |
| Proxy Voting Policy | English | - | Proxy Voting |
| Proxy Voting Records | English | - | Proxy Voting |
HBIE Historical Documents (CLICK HERE)
Investment Goal
The Harvest Balanced Income & Growth Enhanced ETF seeks to provide unitholders with high monthly cash distributions and the opportunity for capital appreciation by investing, on a levered basis, that will replicate the portfolio of the Harvest Balanced Income & Growth ETF (TSX:HBIG).
Benefits of Investing in HBIE:
- Modest leverage at around 25% to enhance monthly cashflow and growth prospects
- Provides enhanced exposure, by investing in a portfolio that replicates the Harvest Balanced Income & Growth ETF (HBIG), to:
- A diversified portfolio of high quality large-cap equities and investment grade bonds
- Tactical asset allocation leveraging portfolio management expertise
- Covered call strategy used to enhance portfolio income potential and lower portfolio volatility
Key ETF Details
| ETF Details | Unit |
|---|---|
| TSX Code | HBIE |
| CUSIP | 41752L107 |
| Currency | CAD-Hedged (underlying class A ETFs) |
| Inception Date | 2024/04/15 |
| Management Style | Active with Covered Calls (underlying ETFs) |
| Asset Class | Balanced with Covered Calls |
| Holdings | 15 ETFs |
| Eligible | | FHSARRSP | RRIF | RESP | TFSA |
| Management Fee | Zero Management Fee (ETF is subject to fees of the underlying ETFs in the portfolio) |
| Risk Rating | |
| Distribution Facts | Unit |
| Cash Distribution Per Unit | $0.2000 |
| Last Record Date | 2025/11/28 |
| Cash Distributions Since Inception | $4.0000 |
| Cash Distribution Frequency | Monthly |
| Distribution Method | Cash or DRIP |
Relevant Insights
Disclaimer
Harvest Balanced Income & Growth Enhanced ETF
Commissions, management fees and expenses all may be associated with investing in Harvest Exchange Traded Funds (managed by Harvest Portfolios Group Inc.). Please read the relevant prospectus before investing. The indicated rates of return are the historical annual compounded total returns (except for figures of one year or less, which are simple total returns) including changes in unit value and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns. The funds are not guaranteed, their values change frequently and past performance may not be repeated. Tax, investment and all other decisions should be made with guidance from a qualified professional.
Distributions are paid to you in cash unless you request, pursuant to your participation in a distribution reinvestment plan, that they be reinvested into Class A units of the Fund. If a Fund earns less than the amounts distributed, the difference is a return of capital.
Certain statements included in this communication constitute forward-looking statements (“FLS”, including, but not limited to, those identified by the expressions "expect", "intend", "will" and similar expressions to the extent they relate to the Funds. The FLS are not historical facts but reflect the Harvest’s and the portfolio manager of the Funds current expectations regarding future results or events. These FLS are subject to a number of risks and uncertainties that could cause actual results or events to differ materially from current expectations. Although Harvest and the portfolio manager of the Funds believe that the assumptions inherent in the FLS are reasonable, FLS are not guarantees of future performance and, accordingly, readers are cautioned not to place undue reliance on such statements due to the inherent uncertainty therein. The Funds, Harvest and the portfolio manager of the Funds undertake no obligation to update publicly or otherwise revise any FLS or information whether as a result of new information, future events or other such factors which affect this information, except as required by law.










