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Harvest Healthcare Leaders Income ETF

Innovative Leaders of a Vital Sector

US healthcare companies combine innovation with consistent demand. We all need healthcare, especially as the developed world ages and the developing world gets richer. Healthcare companies create value from new drugs, treatments, and technologies. HHL offers steady income and growth opportunities from large-cap US healthcare leaders.

FundGrade A

Key Facts

As at 2026/02/05

TICKER

HHL

TSX
CURRENCY

CAD

Hedged
NAV

$7.53

Updated Daily
MKT PRICE CLOSE

$7.53

Updated Daily
NET AUM*

$1772.03M

Updated Daily
MGMT STYLE

Active

with Covered Calls
CURRENT YIELD

9.56%

Updated Daily
CASH DISTRIBUTION

Monthly

Frequency
LAST DISTRIBUTION

$0.0600

Cash, Per Unit
DISTRIBUTION

$7.7862

Total, Since Inception**

Key Facts

As at 2026/02/05

TICKER

HHL.B

TSX
CURRENCY

CAD

Unhedged
NAV

$8.76

Updated Daily
MKT PRICE CLOSE

$8.76

Updated Daily
NET AUM*

$1772.03M

Updated Daily
MGMT STYLE

Active

with Covered Calls
CURRENT YIELD

8.22%

Updated Daily
CASH DISTRIBUTION

Monthly

Frequency
LAST DISTRIBUTION

$0.0600

Cash, Per Unit
DISTRIBUTION

$4.1716

Total, Since Inception**

Key Facts

As at 2026/02/05

TICKER

HHL.U

TSX
CURRENCY

USD

Unhedged
NAV

$8.29

Updated Daily
MKT PRICE CLOSE

$8.29

Updated Daily
NET AUM*

$1772.03M

Updated Daily
MGMT STYLE

Active

with Covered Calls
CURRENT YIELD

8.69%

Updated Daily
CASH DISTRIBUTION

Monthly

Frequency
LAST DISTRIBUTION

$0.0600

Cash, Per Unit
DISTRIBUTION

$6.3287

Total, Since Inception**

Key Facts

As at 2026/02/05

TICKER

HHL

TSX
CURRENCY

CAD

Hedged
NAV

$7.53

Updated Daily
MKT PRICE CLOSE

$7.53

Updated Daily
NET AUM*

$1772.03M

Updated Daily
MGMT STYLE

Active

with Covered Calls
CURRENT YIELD

9.56%

Updated Daily
CASH DISTRIBUTION

Monthly

Frequency
LAST DISTRIBUTION

$0.0600

Cash, Per Unit
DISTRIBUTION

$7.7862

Total, Since Inception**

Key Facts

As at 2026/02/05

TICKER

HHL.B

TSX
CURRENCY

CAD

Unhedged
NAV

$8.76

Updated Daily
MKT PRICE CLOSE

$8.76

Updated Daily
NET AUM*

$1772.03M

Updated Daily
MGMT STYLE

Active

with Covered Calls
CURRENT YIELD

8.22%

Updated Daily
CASH DISTRIBUTION

Monthly

Frequency
LAST DISTRIBUTION

$0.0600

Cash, Per Unit
DISTRIBUTION

$4.1716

Total, Since Inception**

Key Facts

As at 2026/02/05

TICKER

HHL.U

TSX
CURRENCY

USD

Unhedged
NAV

$8.29

Updated Daily
MKT PRICE CLOSE

$8.29

Updated Daily
NET AUM*

$1772.03M

Updated Daily
MGMT STYLE

Active

with Covered Calls
CURRENT YIELD

8.69%

Updated Daily
CASH DISTRIBUTION

Monthly

Frequency
LAST DISTRIBUTION

$0.0600

Cash, Per Unit
DISTRIBUTION

$6.3287

Total, Since Inception**

Key Facts

As at 2026/02/05

TICKER

HHL

TSX
CURRENCY

CAD

Hedged
NAV

$7.53

Updated Daily
MKT PRICE CLOSE

$7.53

Updated Daily
NET AUM*

$1772.03M

Updated Daily
MGMT STYLE

Active

with Covered Calls
CURRENT YIELD

9.56%

Updated Daily
CASH DISTRIBUTION

Monthly

Frequency
LAST DISTRIBUTION

$0.0600

Cash, Per Unit
DISTRIBUTION

$7.7862

Total, Since Inception**

Key Facts

As at 2026/02/05

TICKER

HHL.B

TSX
CURRENCY

CAD

Unhedged
NAV

$8.76

Updated Daily
MKT PRICE CLOSE

$8.76

Updated Daily
NET AUM*

$1772.03M

Updated Daily
MGMT STYLE

Active

with Covered Calls
CURRENT YIELD

8.22%

Updated Daily
CASH DISTRIBUTION

Monthly

Frequency
LAST DISTRIBUTION

$0.0600

Cash, Per Unit
DISTRIBUTION

$4.1716

Total, Since Inception**

Key Facts

As at 2026/02/05

TICKER

HHL.U

TSX
CURRENCY

USD

Unhedged
NAV

$8.29

Updated Daily
MKT PRICE CLOSE

$8.29

Updated Daily
NET AUM*

$1772.03M

Updated Daily
MGMT STYLE

Active

with Covered Calls
CURRENT YIELD

8.69%

Updated Daily
CASH DISTRIBUTION

Monthly

Frequency
LAST DISTRIBUTION

$0.0600

Cash, Per Unit
DISTRIBUTION

$6.3287

Total, Since Inception**

Distributions

Last Cash Distribution Per Unit:

$0.0600

Last Ex-dividend Date:

2026/01/30

Last Record Date:

2026/01/30

Last Payment Date:

2026/02/06

Cash Distribution Frequency:

Monthly

Cash Distributions Since Inception (Class A)**:

CA$7.7862

Cash Distributions Since Inception (Class B)**:

CA$4.1716

Cash Distributions Since Inception (Class U)**:

US$6.3287

Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2026/01/302026/01/302026/02/06$0.0600$0.0600$0.0600Monthly
Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2025/12/312025/12/312026/01/06$0.0600$0.0600$0.0600Monthly
2025/11/282025/11/282025/12/05$0.0600$0.0600$0.0600Monthly
2025/10/312025/10/312025/11/06$0.0600$0.0600$0.0600Monthly
2025/09/292025/09/292025/10/09$0.0600$0.0600$0.0600Monthly
2025/08/292025/08/292025/09/09$0.0600$0.0600$0.0600Monthly
2025/07/312025/07/312025/08/08$0.0600$0.0600$0.0600Monthly
2025/06/302025/06/302025/07/09$0.0600$0.0600$0.0600Monthly
2025/05/302025/05/302025/06/09$0.0600$0.0600$0.0600Monthly
2025/04/302025/04/302025/05/09$0.0600$0.0600$0.0600Monthly
2025/03/312025/03/312025/04/09$0.0600$0.0600$0.0600Monthly
2025/02/282025/02/282025/03/07$0.0600$0.0600$0.0600Monthly
2025/01/312025/01/312025/02/07$0.0600$0.0600$0.0600Monthly
Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2024/12/312024/12/312025/01/09$0.0600$0.0600$0.0600Monthly
2024/11/292024/11/292024/12/09$0.0600$0.0600$0.0600Monthly
2024/10/312024/10/312024/11/08$0.0600$0.0600$0.0600Monthly
2024/09/272024/09/272024/10/09$0.0600$0.0600$0.0600Monthly
2024/08/302024/08/302024/09/09$0.0600$0.0600$0.0600Monthly
2024/07/312024/07/312024/08/09$0.0600$0.0600$0.0600Monthly
2024/06/282024/06/282024/07/09$0.0583$0.0583$0.0583Monthly
2024/05/312024/05/312024/06/07$0.0583$0.0583$0.0583Monthly
2024/04/292024/04/302024/05/09$0.0583$0.0583$0.0583Monthly
2024/03/272024/03/282024/04/09$0.0583$0.0583$0.0583Monthly
2024/02/282024/02/292024/03/08$0.0583$0.0583$0.0583Monthly
2024/01/302024/01/312024/02/09$0.0583$0.0583$0.0583Monthly
Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2023/12/282023/12/292024/01/09$0.0583$0.0583$0.0583Monthly
2023/11/292023/11/302023/12/08$0.0583$0.0583$0.0583Monthly
2023/10/302023/10/312023/11/09$0.0583$0.0583$0.0583Monthly
2023/09/282023/09/292023/10/06$0.0583$0.0583$0.0583Monthly
2023/08/302023/08/312023/09/08$0.0583$0.0583$0.0583Monthly
2023/07/282023/07/312023/08/09$0.0583$0.0583$0.0583Monthly
2023/06/292023/06/302023/07/07$0.0583$0.0583$0.0583Monthly
2023/05/302023/05/312023/06/09$0.0583$0.0583$0.0583Monthly
2023/04/272023/04/282023/05/09$0.0583$0.0583$0.0583Monthly
2023/03/302023/03/312023/04/06$0.0583$0.0583$0.0583Monthly
2023/02/272023/02/282023/03/09$0.0583$0.0583$0.0583Monthly
2023/01/302023/01/312023/02/09$0.0583$0.0583$0.0583Monthly
Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2022/12/292022/12/302023/01/09$0.0583$0.0583$0.0583Monthly
2022/11/292022/11/302022/12/09$0.0583$0.0583$0.0583Monthly
2022/10/282022/10/312022/11/09$0.0583$0.0583$0.0583Monthly
2022/09/282022/09/292022/10/07$0.0583$0.0583$0.0583Monthly
2022/08/302022/08/312022/09/09$0.0583$0.0583$0.0583Monthly
2022/07/282022/07/292022/08/09$0.0583$0.0583$0.0583Monthly
2022/06/292022/06/302022/07/08$0.0583$0.0583$0.0583Monthly
2022/05/302022/05/312022/06/09$0.0583$0.0583$0.0583Monthly
2022/04/282022/04/292022/05/09$0.0583$0.0583$0.0583Monthly
2022/03/302022/03/312022/04/08$0.0583$0.0583$0.0583Monthly
2022/02/252022/02/282022/03/09$0.0583$0.0583$0.0583Monthly
2022/01/282022/01/312022/02/09$0.0583$0.0583$0.0583Monthly
Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2021/12/302021/12/312022/01/07$0.0583$0.0583$0.0583Monthly
2021/11/292021/11/302021/12/09$0.0583$0.0583$0.0583Monthly
2021/10/282021/10/292021/11/09$0.0583$0.0583$0.0583Monthly
2021/09/282021/09/302021/10/08$0.0583$0.0583$0.0583Monthly
2021/08/302021/08/312021/09/09$0.0583$0.0583$0.0583Monthly
2021/07/292021/07/302021/08/09$0.0583$0.0583$0.0583Monthly
2021/06/292021/06/302021/07/09$0.0583$0.0583$0.0583Monthly
2021/05/282021/05/312021/06/09$0.0583$0.0583$0.0583Monthly
2021/04/292021/04/302021/05/07$0.0583$0.0583$0.0583Monthly
2021/03/302021/03/312021/04/09$0.0583$0.0583$0.0583Monthly
2021/02/252021/02/262021/03/09$0.0583$0.0583$0.0583Monthly
2021/01/282021/01/292021/02/09$0.0583$0.0583$0.0583Monthly
Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2020/12/302020/12/312021/01/08$0.0583$0.0583$0.0583Monthly
2020/11/272020/11/302020/12/09$0.0583$0.0583$0.0583Monthly
2020/10/292020/10/302020/11/09$0.0583$0.0583$0.0583Monthly
2020/09/292020/09/302020/10/09$0.0583$0.0583$0.0583Monthly
2020/08/282020/08/312020/09/09$0.0583$0.0583$0.0583Monthly
2020/07/302020/07/312020/08/07$0.0583$0.0583$0.0583Monthly
2020/06/292020/06/302020/07/09$0.0583$0.0583$0.0583Monthly
2020/05/282020/05/292020/06/09$0.0583$0.0583$0.0583Monthly
2020/04/292020/04/302020/05/08$0.0583$0.0583$0.0583Monthly
2020/03/302020/03/312020/04/09$0.0583$0.0583$0.0583Monthly
2020/02/272020/02/282020/03/09$0.0583-$0.0583Monthly
2020/01/302020/01/312020/02/07$0.0583-$0.0583Monthly
Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2019/12/302019/12/31$0.0583-$0.0583Monthly
2019/11/282019/11/29$0.0583-$0.0583Monthly
2019/10/302019/10/31$0.0583-$0.0583Monthly
2019/09/272019/09/30$0.0583-$0.0583Monthly
2019/08/292019/08/30$0.0583-$0.0583Monthly
2019/07/302019/07/31$0.0583-$0.0583Monthly
2019/06/272019/06/28$0.0583-$0.0583Monthly
2019/05/302019/05/31$0.0583-$0.0583Monthly
2019/04/292019/04/30$0.0583-$0.0583Monthly
2019/03/282019/03/29$0.0583-$0.0583Monthly
2019/02/272019/02/28$0.0583-$0.0583Monthly
2019/01/302019/01/31$0.0583-$0.0583Monthly
Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2018/12/282018/12/31$0.0583-$0.0583Monthly
2018/11/292018/11/30$0.0583-$0.0583Monthly
2018/10/302018/10/31$0.0583-$0.0583Monthly
2018/09/272018/09/28$0.0583-$0.0583Monthly
2018/08/302018/08/31$0.0583-$0.0583Monthly
2018/07/302018/07/31$0.0583-$0.0583Monthly
2018/06/282018/06/29$0.0583-$0.0583Monthly
2018/05/302018/05/31$0.0583-$0.0583Monthly
2018/04/272018/04/30$0.0583-$0.0583Monthly
2018/03/282018/03/29$0.0583-$0.0583Monthly
2018/02/272018/02/28$0.0583-$0.0583Monthly
2018/01/302018/01/31$0.0583-$0.0583Monthly
Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2017/12/282017/12/29$0.0583-$0.0583Monthly
2017/11/292017/11/30$0.0583-$0.0583Monthly
2017/10/302017/10/31$0.0583-$0.0583Monthly
2017/09/282017/09/29$0.0583-$0.0583Monthly
2017/08/292017/08/31$0.0583-$0.0583Monthly
2017/07/272017/07/31$0.0583-$0.0583Monthly
2017/06/282017/06/30$0.0583-$0.0583Monthly
2017/05/292017/05/31$0.0583-$0.0583Monthly
2017/04/262017/04/28$0.0583-$0.0583Monthly
2017/03/292017/03/31$0.0583-$0.0583Monthly
2017/02/242017/02/28$0.0583-$0.0583Monthly
2017/01/272017/01/31$0.0583--Monthly
Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2016/12/282016/12/30$0.0583--Monthly
2016/11/282016/11/30$0.0583--Monthly
2016/10/272016/10/31$0.0583--Monthly
2016/09/282016/09/30$0.0583--Monthly
2016/08/292016/08/31$0.0583--Monthly
2016/07/272016/07/29$0.0583--Monthly
2016/06/282016/06/30$0.0583--Monthly
2016/05/272016/05/31$0.0583--Monthly
2016/04/272016/04/29$0.0583--Monthly
2016/03/292016/03/31$0.0583--Monthly
2016/02/252016/02/29$0.0583--Monthly
2016/01/272016/01/29$0.0583--Monthly
Ex-dividend DateRecord DatePayment DateClass A (CAD)Class B (CAD)Class U (USD)Distribution Frequency
2015/12/292015/12/31$0.0583--Monthly
2015/11/262015/11/30$0.0583--Monthly
2015/10/282015/10/30$0.0583--Monthly
2015/09/282015/09/30$0.0583--Monthly
2015/08/272015/08/31$0.0583--Monthly
2015/07/292015/07/31$0.0583--Monthly
2015/06/262015/06/30$0.0583--Monthly
2015/05/272015/05/29$0.0583--Monthly
2015/04/282015/04/30$0.0583--Monthly
2015/03/272015/03/31$0.0583--Monthly
2015/02/252015/02/27$0.0583--Monthly
2015/01/282015/01/30$0.0583--Monthly

** Inception Date:  Class A is 2014/12/18;  Class B is 2020/03/12; Class U is 2017/02/09.

Annual Tax Information


Portfolio Analysis

As at January 30, 2026

Number of Equity Securities:

20

Average Market Capitalization (CAD):

$323B

Average P/E:

20.3X

Average Dividend Yield:

1.78%

Average 5 Year Return on Equity:

30.00%

.


Sub-Sector Allocation

As at January 30, 2026


Geographic Allocation

As at January 30, 2026

Holdings

As at January 30, 2026

NameTickerWeightSectorCountry
Johnson & JohnsonJNJ US5.8%PharmaceuticalsUnited States
Merck & Co., Inc.MRK US5.6%PharmaceuticalsUnited States
Bristol-Myers Squibb CompanyBMY US5.5%PharmaceuticalsUnited States
Novartis AGNVS US5.5%PharmaceuticalsUnited States
AstraZeneca PLCAZN US5.3%PharmaceuticalsUnited States
Medtronic PLCMDT US5.2%Health Care Equipment & SuppliesUnited States
Amgen Inc.AMGN US5.1%BiotechnologyUnited States
Elevance Health, Inc.ELV US5.0%Health Care Providers & ServicesUnited States
Thermo Fisher Scientific Inc.TMO US4.9%Life Sciences Tools & ServicesUnited States
Regeneron Pharmaceuticals, Inc.REGN US4.8%BiotechnologyUnited States
Stryker CorporationSYK US4.8%Health Care Equipment & SuppliesUnited States
AbbVie Inc.ABBV US4.7%BiotechnologyUnited States
Danaher CorporationDHR US4.7%Life Sciences Tools & ServicesUnited States
Eli Lilly and CompanyLLY US4.7%PharmaceuticalsUnited States
Abbott LaboratoriesABT US4.6%Health Care Equipment & SuppliesUnited States
UnitedHealth Group IncorporatedUNH US4.5%Health Care Providers & ServicesUnited States
Boston Scientific CorporationBSX US4.4%Health Care Equipment & SuppliesUnited States
Agilent Technologies, Inc.A US4.3%Life Sciences Tools & ServicesUnited States
Intuitive Surgical, Inc.ISRG US4.3%Health Care Equipment & SuppliesUnited States
Zoetis Inc.ZTS US4.1%PharmaceuticalsUnited States
Cash and other assets and liabilities1.0%
Harvest Canadian T-Bill ETFTBIL CN0.9%Cash EquivalentsCanada
Foreign currency forwards0.6%
Market value of options(0.4)%

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Annualized Performance

As at January 31, 2026

Ticker1M3M6MYTD1Y2Y3Y4Y5Y7Y8Y10Y11YSI
HHL(0.59)5.1315.22(0.59)3.165.007.156.518.828.557.598.217.076.93
HHL.B(1.26)2.5614.24(1.26)(1.51)7.179.229.4811.11----10.38
HHL.U(0.47)5.6516.25(0.47)5.126.498.387.629.729.588.59--9.43

Download CSV

Calendar Year Performance

As at January 31, 2026

Ticker202520242023202220212020201920182017201620152014
HHL10.573.906.621.4423.795.2113.752.7413.41(3.65)4.25(1.68)
HHL.B7.5313.685.069.2223.064.97------
HHL.U12.624.797.362.0423.847.0314.663.6910.82---

Download CSV

Cumulative Market Price

(Monthly Distribution: $0.0600)

 

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.

HHL Historical Daily Prices (CLICK HERE)


DocumentLanguageType
Product SheetEnglishFrenchFund Documents
ETF FactsEnglishFrenchRegulatory
ProspectusEnglishFrenchRegulatory
ETF Products BookletEnglishFrenchInformation Materials
Covered Call WritingEnglishFrenchInformation Materials
MER SummaryEnglishFrenchInformation Materials
2025 Quarterly Summary - Q1English-Portfolio Disclosure
2025 Quarterly Summary - Q3English-Portfolio Disclosure
2025 Interim Financial StatementsEnglishFrenchStatements/MRFPs
2025 Interim Management Report of Fund Performance EnglishFrenchStatements/MRFPs
2024 Annual Financial StatementsEnglishFrenchStatements/MRFPs
2024 Annual Management Report of Fund Performance EnglishFrenchStatements/MRFPs
2024 Annual Distributions SummaryEnglish-Information Materials
PFIC Annual Information StatementEnglish-Information Statement
IRS Form 8937English-Tax Form
Proxy Voting PolicyEnglish-Proxy Voting
Proxy Voting RecordsEnglish-Proxy Voting

 

HHL Historical Documents (CLICK HERE)


Investment Goal

The Harvest Healthcare Leaders Income ETF is an equally weighted portfolio of 20 large-cap global Healthcare companies, selected for their potential to provide attractive monthly income and long-term growth. In order to generate an enhanced monthly distribution yield, an active covered call strategy is engaged.

Benefits of Investing in HHL:

  • Global trends driving long-term growth in healthcare sector
  • Diversified exposure to 20 large capitalization global healthcare stocks
  • Attractive monthly income with opportunity for capital appreciation
  • Covered call strategy to enhance portfolio income potential and lower portfolio volatility
  • Available in multiple currency classes: Hedged, Unhedged, US dollar

Key ETF Details

As at January 30, 2026
ETF DetailsClass AClass BClass U
TSX CodeHHLHHL.BHHL.U
CUSIP41755F10741755F30541755F206
CurrencyCAD-HedgedCAD-UnhedgedUS Dollar
Inception Date2014/12/182020/03/122017/02/09
Management StyleActive with Covered Calls
EligibleRRSP | RRIF | RESP | TFSA | FHSA
Management Fee0.85%
Risk Ratingmed_risk_bar
Distribution FactsClass AClass BClass U
Last Cash Distribution Per UnitCA$0.0600CA$0.0600US$0.0600
Last Record Date2026/01/302026/01/302026/01/30
Cash Distributions Since Inception**CA$7.7862CA$4.1716US$6.3287
Cash Distribution FrequencyMonthly
Distribution MethodCash or DRIP
Annual Distributions SummaryPDF View

Investor Documents

PDF icon Product Sheet En | Fr
PDF icon Investor Brochure En | Fr
PDF icon ETFs Booklet En | Fr
PDF icon ETF Facts En | Fr
PDF icon Prospectus En | Fr
PDF icon Covered Call Writing En | Fr
PDF icon MER Summary En | Fr

Relevant Insights

Disclaimer

Harvest Healthcare Leaders Income ETF

The Fund originally commenced operations as a TSX listed closed-end fund on December 18, 2014 and converted into an exchange-traded fund on October 24, 2016. 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. 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, Class B or Class U units of the Fund. If the Fund earns less than the amounts distributed, the difference is a return of capital. Tax, investment and all other decisions should be made with guidance from a qualified professional.

The current yield represents an annualized amount that is comprised of 12 unchanged monthly distributions (using the most recent month’s distribution figure multiplied by 12) as a percentage of the closing market price of the Fund. The current yield does not represent historical returns of the ETF but represents the distribution an investor would receive if the most recent distribution stayed the same going forward.

* Represents aggregate AUM of all classes denominated in Canadian dollars.

** Inception Date: Class A is 2014/12/18; Class B is 2020/03/12; Class U is 2017/02/09.

† The first year of Calendar Year Performance presents the rate of return from commencement of operations to December 31 of that year.

‡Source: Bloomberg. Average statistics calculated based on portfolio weighted average. Dividend yield (gross) based on Bloomberg indicated 12 month yield of portfolios positions and does not represent the distribution yield paid to investors. The above information is for illustrative purposes only, is estimated and unaudited.

For illustrative purposes only. The chart above only shows the market value per unit of Harvest Healthcare Leaders Income ETF ("HHL") using the daily market close on the TSX and identifies the monthly cash distributions paid by HHL on a cumulative basis. The cash distributions are not compounded or treated as reinvested, and the chart does not take into account sales, redemption, distribution or optional charges or income taxes payable by any unitholder. The chart is not a performance chart and is not indicative of future market values of HHL or returns on investment in HHL, which will vary.

FundGrade A+®

FundGrade A+® is used with permission from Fundata Canada Inc., all rights reserved. The annual FundGrade A+® Awards are presented by Fundata Canada Inc. to recognize the “best of the best” among Canadian investment funds. The FundGrade A+® calculation is supplemental to the monthly FundGrade ratings and is calculated at the end of each calendar year. The FundGrade rating system evaluates funds based on their risk-adjusted performance, measured by Sharpe Ratio, Sortino Ratio, and Information Ratio. The score for each ratio is calculated individually, covering all time periods from 2 to 10 years. The scores are then weighted equally in calculating a monthly FundGrade. The top 10% of funds earn an A Grade; the next 20% of funds earn a B Grade; the next 40% of funds earn a C Grade; the next 20% of funds receive a D Grade; and the lowest 10% of funds receive an E Grade. To be eligible, a fund must have received a FundGrade rating every month in the previous year. The FundGrade A+® uses a GPA-style calculation, where each monthly FundGrade from “A” to “E” receives a score from 4 to 0, respectively. A fund’s average score for the year determines its GPA. Any fund with a GPA of 3.5 or greater is awarded a FundGrade A+® Award. For more information, see www.FundGradeAwards.com. Although Fundata makes every effort to ensure the accuracy and reliability of the data contained herein, the accuracy is not guaranteed by Fundata.