Global X Conservative Asset Allocation ETF (HCON : TSX)
ETF
$15.11
CAD
-0.03 (-0.20%)
Last updated: 2026-10-01
Dividend Declared
3 days ago$0.0350 CAD per share dividend. Ex-dividend date: September 29, 2026 • Payment date: October 7, 2026Upcoming
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HCON
Global X Conservative Asset Allocation ETF
Key Statistics
Market Cap
$39.79M
52W High
$15.52
52W Low
$14.22
P/E Ratio
-
50 Day MA
$15.31
200 Day MA
$15.11
Beta
0.93
Dividend Yield
274.00%
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Recent Price History
| Date | Open | High | Low | Close | Adj Close | Volume |
|---|---|---|---|---|---|---|
| 10/1/2026 | $15.11 | $15.11 | $15.11 | $15.11 | $15.11 | 0 |
| 9/30/2026 | $15.14 | $15.14 | $15.14 | $15.14 | $15.14 | 101 |
| 9/28/2026 | $15.25 | $15.25 | $15.25 | $15.25 | $15.25 | 0 |
| 9/25/2026 | $15.18 | $15.21 | $15.18 | $15.21 | $15.21 | 329 |
| 9/24/2026 | $15.22 | $15.22 | $15.18 | $15.18 | $15.18 | 792 |
| 9/23/2026 | $15.22 | $15.22 | $15.22 | $15.22 | $15.22 | 156 |
| 9/22/2026 | $15.33 | $15.33 | $15.33 | $15.33 | $15.33 | 282 |
| 9/21/2026 | $15.32 | $15.32 | $15.32 | $15.32 | $15.32 | 153 |
| 9/17/2026 | $15.23 | $15.23 | $15.23 | $15.23 | $15.23 | 907 |
| 9/14/2026 | $15.17 | $15.17 | $15.17 | $15.17 | $15.17 | 0 |
About Global X Conservative Asset Allocation ETF
NA
Financials
- Revenue (TTM)
- -
- EBITDA
- -
- Profit Margin
- -
- ROE (TTM)
- -
- EPS (Diluted)
- -
- Book Value
- -
Recent Dividends
$0.0350CAD
Ex: Sep 29, 2026
Pay: Oct 7
$0.0350CAD
Ex: Aug 31, 2026
$0.0350CAD
Ex: Jul 31, 2026
Pay: Aug 10
$0.0350CAD
Ex: Jun 30, 2026
$0.0350CAD
Ex: May 29, 2026
$0.0350CAD
Ex: Feb 27, 2026
$0.0350CAD
Ex: Jan 30, 2026
$0.0350CAD
Ex: Dec 31, 2025
$0.0350CAD
Ex: Nov 28, 2025
$0.0350CAD
Ex: Oct 31, 2025
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