Enhanced exposure to Canada’s leading financial firms across banking, insurance, and asset management for attractive monthly income & long-term growth potential

Solactive Canada Dividend Elite Champions Index

Market Capitalization

Established companies with average market cap of $73B

Dividend Growth

Companies with average of 10%+ dividend growth

Stability

Stocks with 6+ year history of growing dividends (no decreases)

Index Outperformance vs S&P/TSX 60

As at September 30, 2025

Blue-chip Components

Royal Bank of Canada logo
CIBC logo
Sun Life Financial logo
Enbridge logo
Fortis logo
Agnico Eagle logo
Intact logo
Loblaws logo
Couche-Tard logo
Waste Connections logo
Manulife logo

Portfolio Advantages

    CHAMPIONS Index* S&P/TSX 60
Annualized Return1 Higher Returns 9.40% 7.70%
Yield2 Higher Monthly Income 3.30% 2.80%
Standard Deviation3 Lower Volatility 16.30% 17.90%
Max Drawdown4 Lower Peak-to-Trough -45.50% -48.10%
Time to Recovery5 Faster Recovery 632 days 1709 days

Growth of $10,000

As at September 30, 2025

Total Returns (incl. Dividends)

As at September 30, 2025
Yield* 1 month 3 months 6 months Year to date 1 year 2 years* 3 years* 5 years* 10 years* Inception* As of Date Ticker
4.01 2.0 11.2 25.5 26.7 36.3 47.0 29.2 17.8 31/10/2025 HFIN

Calendar Returns (incl. Dividends)

2021 2022 2023 2024 Ticker
-15.05 23.28 39.74 HFIN

Sector Allocation

As at September 30, 2025

Geographic Allocation

As at September 30, 2025

Top Holdings

As at September 30, 2025
Ticker Name Weight
WPM Wheaton Precious Metals Corp 4.60%
AEM Agnico Eagle Mines Ltd 4.50%
FNV Franco-Nevada Corp 4.40%
T TELUS Corp 4.40%
TD Toronto-Dominion Bank 4.30%
WCN Waste Connections Inc 4.30%
IFC Intact Financial Corp 4.20%
BMO Bank of Montreal 4.20%
L Loblaw Cos Ltd 4.10%
FTS Fortis Inc/Canada 4.10%
MFC Manulife Financial Corp 4.00%
CP Canadian Pacific Kansas City L 4.00%
ENB Enbridge Inc 3.90%
RY Royal Bank of Canada 3.90%
CM Canadian Imperial Bank of Comm 3.90%
TOU Tourmaline Oil Corp 3.90%
CNR Canadian National Railway Co 3.80%
BNS Bank of Nova Scotia/The 3.80%
SLF Sun Life Financial Inc 3.80%
BCE BCE Inc 3.70%
TRP TC Energy Corp 3.70%
ATD Alimentation Couche-Tard Inc 3.70%
NA National Bank of Canada 3.60%
MG Magna International Inc 3.50%
CNQ Canadian Natural Resources Ltd 3.40%

Fund Details

All Hamilton ETFs are available for purchase on the Toronto Stock Exchange (TSX), and can be used in RRSP, RRIF, DPSP, RDSP, FHSA, RESP and TFSA portfolios. To set up a DRIP, please contact your individual brokerage.

  Value
Ticker HFIN
Inception Date January 26, 2022
Investment Style Index-based, modest 25% leverage
Benchmark Solactive Canadian Financials Equal-Weight Index TR
Assets $283.4M CAD (as at 25 Nov, 2025)
Current Annualized Yield* 4.01% (as at 31 Oct, 2025)
Distributions Monthly
Rebalancing Semi-Annual
Leverage 25% (no derivatives)
Management Fee 0.65%
Risk Rating Medium to High
CUSIP 407364108

Distributions

As at September 30, 2025

You can view public filings for the Hamilton Enhanced Canadian Financials ETF on SEDAR+.

Press Releases

View the latest HFIN Press Releases

Fact Sheet

HFIN Fact Sheet (2025-06-30) English Français

ETF Facts

HFIN ETF Facts (2025-01-09) English Français

Prospectus

HFIN Prospectus (2025-06-02) English Français

Financial Statements & MRFP

Annual Report (2024-12-31) English Français
Interim Report (2024-06-30) English Français

Latest Portfolio Summary

Q1 2025 Portfolio Summary (2025-03-31) Download

Proxy Voting

Proxy Voting Report (2023-07 to 2024-06) Download

Independent Review Committee

2024 Annual Report to Securityholders (2025-03-11) Download

*Current yield is an estimate of the annualized yield an investor would receive if the most recent distribution remained unchanged for the next 12 months, stated as a percentage of the price per unit on the specificed date. The yield calculation excludes any additional year end distributions and does not include reinvested distributions.