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FXC

ยทNYSE
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Key Stats
Assets Under Management
74.45MUSD
Fund Flows (1Y)
14.08MUSD
Dividend Yield
0.55%
Discount/Premium to NAV
-0.12%
Shares Outstanding
1.05M
Expense Ratio
0.40%
About Invesco CurrencyShares Canadian Dollar Trust
Issuer
Invesco Capital Management LLC
Brand
Invesco
Inception Date
Jun 21, 2006
Structure
Grantor Trust
Index Tracked
USD/CAD Exchange Rate
Management Style
Passive
Dividend Treatment
Distributes
Distribution Tax Treatment
Ordinary income
Income Tax Type
Ordinary Income
Max ST Capital Gains Rate
39.60%
Max LT Capital Gains Rate
39.60%
Primary Advisor
Invesco Specialized Products LLC
Distributor
Invesco Distributors, Inc.
FXC provides direct exposure to the Canadian currency by holding physical Canadian dollars in a JPMorgan deposit account. This simple structure allows the fund to closely track the CAD/USD spot exchange rate. FXC is fit for investors interested in accessing the Canadian dollar without the hassles of a separate foreign exchange account. Still, investors should note that: 1) there's no deposit insurance on its holdings, so it carries credit risk of its depository, JPMorgan, and 2) distributions and share sales are always taxed at ordinary-income rate, regardless of holding period.
Classification
Asset Class
Currency
Category
Pair
Focus
Long CAD, Short USD
Niche
In Specie
Strategy
Vanilla
Geography
Canada
Weighting Scheme
Single Asset
Selection Criteria
Single asset
Returns
1-Month
3-Month
YTD
1-Year
3-Year
5-Year
Price Performance
+1.59%+0.00%+4.63%+4.03%-1.36%-7.42%
NAV Total Return
+1.74%+0.71%+5.40%+3.63%+4.16%-2.45%
Ratings

No data is currently available

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Holdings Analysis

Sector

No data is currently available

Asset

No data is currently available

Region

No data is currently available

Investment Style

No data is currently available

Top 10 Holdings

Symbol

Ratio

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CASH & EQUIVALENTS

100.00%
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CASH & EQUIVALENTS-1

0.00%

Top 10 Weight 100%

2 Total Holdings

Dividends

Dividend Payout History

Declaration Date
Record Date
Payment Date
Amount
2025-12-012025-12-012025-12-050.007
2025-11-032025-11-032025-11-070.018
2025-10-012025-10-012025-10-070.025
2025-09-022025-09-022025-09-080.032
2025-08-012025-08-012025-08-070.031
2025-07-012025-07-012025-07-080.031
2025-06-022025-06-022025-06-060.032

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Premium/Discount Chart
Premium/Discount to NAV
Price
Assets Under Management
Assets Under Management
Fund Flows
Inflows
Outflows