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Settlement Cycle: First business day after the trade date
Overview
Reasons to Invest
High-quality Canadian fixed income: The Fund invests in investment-grade Canadian fixed income and high-quality dividend paying common and preferred equities.
Portfolio diversification: Low correlation between the Fund and Canadian and global equities makes it an ideal choice for managing portfolio risk.
Consistent stream of income: The Fund delivers a low-volatility solution with a healthy and attractive income distribution.
Lead Portfolio Manager(s)
Performance
Annualized Returns (%)
As at 03/31/2024
Calendar Returns (%)
As at 03/31/2024
Growth of $10,000
As at 03/31/2024
Portfolio Analysis
Top 10 Holdings (%)
As at 03/31/2024
Sector Allocation
As at 03/31/2024
Asset Mix
As at 03/31/2024
Distributions
Annual Distributions ($/unit)
As at 03/31/2024
*Distributions are rounded to the nearest hundredth.