Matco Balanced Fund

MAT102
TOTAL FUND ASSETS
As at 09/30/2024
$152,139,561
YTD PERFORMANCE
As at 09/30/2024
9.3%
DIVIDEND YIELD
As at 09/30/2024
3.10%

Settlement Cycle: First business day after the trade date

Fund Information

Reasons to Invest

Diversified solution:  The Fund provides investors with a portfolio of diversification across asset classes, geographic regions, and market capitalizations.

Long-term investment for retirement: The Fund’s diversification offers healthy income and moderate long-term growth, making it ideal for use in an RRSP, RRIF, and TFSA.

Manages risk while maximizing growth potential: The Fund’s active portfolio adjustments tilt the portfolio to protection in times of uncertainty and to moderate growth in a strong economy.

Overview

The Fund invests in a diversified portfolio of Canadian companies, global companies and high-quality bonds in order to preserve capital, produce income and generate long-term capital appreciation.
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Annualized Returns

As at 09/30/2024
YTD
9.3%
1 Year
18.0%
3 Year
4.8%
5 Year
6.2%
10 Year
6.1%
Inception
5.8%

Lead Portfolio Manager(s)

Headshot of portfolio manager
Trevor Galon, CFA
Chief Investment Officer

Growth of $10,000

As at 09/30/2024

Risk Rating

Low to Medium

Asset Class

Multi-asset

Details

Inception Date:
11/29/2007
Management Expense Ratio (MER):
0.18%
Management Fee:
Negotiable

Asset Mix

As at 09/30/2024

Calendar Returns (%)

As at 09/30/2024

Top 10 Holdings (%)

As at 09/30/2024
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Sector Allocation

As at 09/30/2024

Annual Distributions ($/unit)

As at 12/31/2023
*Distributions are rounded to the nearest hundredth.
Disclosures