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DCP

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1d
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1m

Analysis and statistics

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About

DCP.TO is the ticker symbol for the Horizons US 7-10 Year Treasury Bond ETF. This ETF, traded on the Toronto Stock Exchange (TSX), seeks to replicate, to the extent possible, the performance of the Solactive US 7-10 Year Treasury Bond Index, net of expenses. The index is designed to provide exposure to fixed-rate U.S. dollar denominated treasury bonds with remaining maturities between 7 and 10 years. Investors often use DCP.TO to gain exposure to U.S. Treasury bonds, which are generally considered low-risk fixed-income investments, and as a potential tool for portfolio diversification or hedging against economic uncertainty.
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Factors

Factors Affecting DCP.TO ETF Price: Underlying Bond Prices: DCP.TO tracks Canadian corporate bonds. Changes in these bond prices directly impact the ETF's net asset value (NAV) and market price.

Interest Rate Changes: Rising interest rates generally decrease bond values, lowering DCP.TO's price. Falling rates typically increase bond values and the ETF's price.

Credit Spreads: Widening credit spreads (difference between corporate and government bond yields) indicate increased risk aversion, reducing corporate bond prices and DCP.TO's value.

Market Sentiment: Investor confidence and overall market conditions influence demand for corporate bond ETFs like DCP.TO. Positive sentiment increases demand and price.

Supply and Demand: Higher demand for DCP.TO compared to supply can drive the price above its NAV. Conversely, excess supply can push the price below NAV.

ETF Management Fees: The ETF's expense ratio reduces returns, impacting its overall value and potentially its price compared to similar bond ETFs.

Economic Conditions: Economic growth or recessionary fears affect corporate profitability and creditworthiness, impacting corporate bond values and DCP.TO's price.

Liquidity: The liquidity of the underlying bonds impacts the ETF price. Illiquid bonds can cause wider bid-ask spreads.

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