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Bulletin de la Bourse

Purpose Bitcoin Yield ETF (BTCY.B) inscrit à la Bourse de Toronto


26 novembre 2021

Issuer: Purpose Bitcoin Yield ETF ("Purpose ETF")

SecuritySymbolIssued and Outstanding SecuritiesReserved SecuritiesIssue Price
Canadian dollar denominated ETF non-currency hedged units BTCY.B 100,000 None C$10.00
Listing category: Non-Corporate
Trading Currency: CDN$
Transaction: Initial public offering (the "Offering") of Canadian dollar denominated ETF non-currency hedged units (the "CAD ETF Non-Currency Hedged Units").
Listing date: November 29, 2021 in anticipation of closing of the Offering.
Anticipated closing date: November 29, 2021
Posted for trading date: November 30, 2021 (at the opening) subject to confirmation of closing of the Offering.
Other market(s): None
Designated market maker: BMO Nesbitt Burns Inc.
Security ownership registration: CDS book based system and Non-Certificated Issue.
Investor relations: Vladimir Tasevski
Chief Operating Officer
Tel: 416 871 6454
vladt@purposeinvest.com 
Incorporation: An alternative mutual fund established as a trust under the laws of the Province of Ontario pursuant to an amended and restated declaration of trust dated as of November 19, 2021.
Manager: Purpose Investments Inc.
Fiscal year end: December 31
Nature of business: Purpose ETF seeks to provide unitholders with (a) monthly distributions and (b) long-term capital appreciation. Purpose ETF will achieve its investment objectives primarily by obtaining exposure to Bitcoin and by implementing a derivatives based strategy in respect of portfolio securities.
Transfer agent and registrar: TSX Trust Company at its principal office in Toronto.
Sponsorship: Not Applicable
Additional Information: Participating Organizations should note that all trades in the Purpose ETF will be on a T+1 settlement on a permanent basis.
Dividends: Purpose ETF expects to pay monthly distributions.
Sponsorship: Not applicable
Disclosure documents: Simplified prospectus (the "Simplified Prospectus") and annual information form (the "AIF") each dated November 19, 2021 (the "AIF" and together with the Simplified Prospectus, the "Disclosure Documents") which are available at www.SEDAR.com. Capitalized terms not otherwise defined herein are as defined in the Disclosure Documents
Initial public offering: 100,000 CAD ETF Non-Currency Hedged Units at a subscription price of C$10.00 per CAD ETF Non-Currency Hedged Unit. The CAD ETF Non-Currency Hedged Units of Purpose ETF are being issued and sold on a continuous basis and there is no maximum number of CAD ETF Non-Currency Hedged Units that may be issued.
TSX contact: Chris Birkett,
Managing Director, Listed Issuer Services,
Toronto Stock Exchange.