Stocks/TSX/HCON

Global X Conservative Asset Allocation ETF (HCON : TSX)

ETF

$15.44

CAD

+0.06 (0.39%)

Last updated: 2026-07-10

๐Ÿ’ฐ

Dividend Declared

13 days ago

$0.0350 CAD per share dividend. Ex-dividend date: June 30, 2026

HCON

Global X Conservative Asset Allocation ETF

Source:WealthAwesomeWealthAwesome
โ†‘ $0.11 (0.72%)
30 day period
$15.12$15.36$15.60May 28Jun 19Jul 10

Key Statistics

Market Cap

$36.67M

52W High

$15.63

52W Low

$13.63

P/E Ratio

-

50 Day MA

$15.30

200 Day MA

$14.97

Beta

0.94

Dividend Yield

271.00%

Recent Price History

DateOpenHighLowCloseAdj CloseVolume
7/10/2026$15.57$15.57$15.44$15.44$15.4432,683
7/9/2026$15.38$15.38$15.38$15.38$15.380
7/8/2026$15.49$15.49$15.35$15.36$15.363,517
7/7/2026$15.63$15.63$15.45$15.45$15.452,111
7/6/2026$15.63$15.63$15.54$15.54$15.545,718
7/3/2026$15.44$15.44$15.44$15.44$15.440
7/2/2026$15.60$15.60$15.60$15.60$15.60477
6/30/2026$15.52$15.52$15.52$15.52$15.520
6/29/2026$15.47$15.47$15.47$15.47$15.471,543
6/26/2026$15.49$15.49$15.49$15.49$15.491,000

About Global X Conservative Asset Allocation ETF

NA

Financials

Revenue (TTM)
-
EBITDA
-
Profit Margin
-
ROE (TTM)
-
EPS (Diluted)
-
Book Value
-

๐Ÿ’ฐ Recent Dividends

$0.0350

Ex: Jun 30, 2026

$0.0350

Ex: May 29, 2026

$0.0350

Ex: Feb 27, 2026

$0.0350

Ex: Jan 30, 2026

$0.0350

Ex: Dec 31, 2025

$0.0350

Ex: Nov 28, 2025

$0.0350

Ex: Oct 31, 2025

$0.0350

Ex: Sep 29, 2025

$0.0350

Ex: Aug 29, 2025

$0.0350

Ex: Jul 31, 2025

Advertisement

7 stocks to buy and hold forever

Blue-chip dividend stocks for long-term wealth building.

Get the FREE Report

Common Questions About HCON

Advertisement