FINC

Forstrong Global Income ETF

FINC aims to generate modest capital appreciation with an emphasis on receiving income, by primarily investing, directly or indirectly, in a diversified mix of Canadian and global securities.

Reasons to Consider FINC

Higher Income

 Access higher growth opportunities around the world

Diversification

Focus on diversified income generation

International Expertise

Specialized international expertise with a focus on downside protection

FINC Overview - ETF Series

Key Information As of 01/22/2026
Fund Inception Date: 08/10/2023
MER:1.71%
Total Net Assets (All series): $17,057,506
Previous Close:$22.71
NAV: $22.69
Risk Rating: Low to Medium
Management Fees:0.50%
Trading Details As of 01/22/2026
Ticker:FINC
CUSIP:34660L103
ISIN:CA34660L1031
Listing Exchange:TMX
Shares outstanding:750,000.00
Number of holdings:14

Investment Objectives:

FINC aims to generate modest capital appreciation with an emphasis on receiving income, by primarily investing, directly or indirectly, in a diversified mix of Canadian and global securities.

Distribution History - ETF Series

Distribution Frequency: Quarterly

Ex-Dividend DateRecord DatePayment DateCash Distribution per UnitReinvested Distribution Per UnitTotal Distribution Per Unit
27 Sep 202328 Sep 20235 Oct 2023$0.0042- $0.0042
28 Dec 202329 Dec 20238 Jan 2024$0.2357- $0.2357
25 Mar 202426 Mar 2024- - - -
28 Jun 202428 Jun 2024- - - -
27 Sep 202427 Sep 2024- - - -
30 Dec 202430 Dec 20247 Jan 2025$0.2160- $0.2160
26 Mar 202526 Mar 2025- - - -
26 Jun 202526 Jun 20254 Jul 2025$0.2121- $0.2121
24 Sep 202524 Sep 202529 Sep 2025$0.0596- $0.0596
30 Dec 202530 Dec 20256 Jan 2025$0.4997- $0.4997

Investment Results - ETF Series

As of 12/31/2025YTD1 Month1 Year3 Years5 YearsSince Inception
Total Return (%)*7.33-0.727.33N/AN/A7.23

*Total return represents changes to the NAV and accounts for distributions from the fund. Past performance does not guarantee future results.

Overview - Series O

Key Information As of 01/22/2026
Fund Inception Date: 09/29/2023
MER: 1.69%
Total Net Assets (All series): $17,057,506
NAV: $23.70
Risk Rating:Low to Medium
Management Fees:Negotiable
Fund Code:FGA111

Distribution History - Series O

Distribution Frequency: Quarterly

Record DatePayment DateDistribution Per UnitTotal Distribution Per Unit
28 Dec 202329 Dec 2023$0.1415$0.1415
24 Dec 202427 Dec 2024$0.2621$0.2621
26 Mar 202527 Mar 2025- -
25 Jun 202526 Jun 2025$0.2505$0.2505
24 Sep 202525 Sep 2025$0.0540$0.0540
30 Dec 202530 Dec 2025$0.2469$0.2469

Investment Results - Series O

As of 12/31/2025YTD1 Month1 Year3 Years5 YearsSince Inception
Total Return (%)*7.15-0.697.15N/AN/A8.89

*Total return represents changes to the NAV and accounts for distributions from the fund. Past performance does not guarantee future results.

Overview - Series F

Key Information As of 01/22/2026
Fund Inception Date: 03/31/2025
MER: 1.91%
Total Net Assets (All series): $17,057,506
NAV: $20.40
Risk Rating:Low to Medium
Management Fees:1.50%
Fund Code:FGA112

Distribution History - Series F

Distribution Frequency: Quarterly

Record DatePayment DateDistribution Per UnitTotal Distribution Per Unit
25 Jun 202526 Jun 2025$0.1627$0.1627
24 Sep 202525 Sep 2025$0.0329$0.0329
30 Dec 202530 Dec 2025$0.5842$0.5842

Investment Results - Series F

*New FundYTD1 Month1 Year3 Years5 YearsSince Inception
Investment Results will be available after 1 year.

*Total return represents changes to the NAV and accounts for distributions from the fund. Past performance does not guarantee future results.

Overview - Series A

Key Information As of 01/22/2026
Fund Inception Date: 08/29/2025
MER: *New Fund
Total Net Assets (All series): $17,057,506
NAV: $20.06
Risk Rating:Low to Medium
Management Fees:0.50%
Fund Code:FGA113

Distribution History - Series A

Distribution Frequency: Quarterly

Record DatePayment DateDistribution Per UnitTotal Distribution Per Unit
24 Sep 202525 Sep 2025$0.0131$0.0131
30 Dec 202530 Dec 2025$0.4645$0.4645

Investment Results - Series A

*New FundYTD1 Month1 Year3 Years5 YearsSince Inception
Investment Results will be available after 1 year.

*Total return represents changes to the NAV and accounts for distributions from the fund. Past performance does not guarantee future results.

Top Portfolio Holdings

As of 12/31/2025TickerNet Assets (%)
SPDR Barclays Emerging Markets Local Bond ETFEBND16.89%
Vanguard US Aggregate Bond Index ETF Cad HedgedVBU15.91%
Vanguard Total Bond Market ETFBND13.17%
Vanguard High Dividend Yield ETFVYM10.76%
SPDR Bloomberg Short Term International Treasury Bond ETFBWZ8.63%
Vanguard Global ex-U.S. Aggregate Bond Index ETFVBG8.30%
iShares MSCI Europe Financials ETFEUFN5.72%
VanEck Emerging Markets High Yield Bond ETFHYEM5.04%
Vanguard FTSE Developed Markets ETFVEA3.52%
CI First Asset High Interest Savings ETFCSAV3.46%

*In compliance with the International Ethics Standards Board for Accountants’ (“IESBA”) Code of Ethics for Professional Accountants, the auditor is required to publicly disclose the audit and non-audit fees charged to public interest entities, including Forstrong ETFs, on an annual basis.

In connection with the audits of the financial statements of public interest entities managed by Forstrong for the year ended December 31, 2024, the following fees (excluding applicable taxes) were paid or payable to KPMG LLP:  fees for audits of financial statements were $113,832 and fees for other services were $ 57,024.