10 0 obj 5 0 obj Get MUTUAL:GGF99146 mutual fund information for BMO-Dividend-Fund-Advisor-Series, including a fund overview, , Morningstar summary, tax analysis, sector allocation, and more You can find more details in the fund's simplified prospectus. <>stream http://www.aiim.org/pdfua/ns/id/pdfuaidPDF/UA identification schemainternalIndicates, which part of ISO 14289 standard is followedpartIntegerhttp://bfo.com/products/pdf?version=2.24-r345382020-05-27T09:48:26-04:002020-05-27T09:48:26-04:002020-05-27T09:48:26-04:00R_82_9_1425FUND FACTS2020-05-27T09:48:26-04:00application/pdf1 2 0 obj /|H�^0����y^>�L⧧c����,�N��I��g����k�GA=�-�>�s߶��p�+۶�%�-��s��\����r_���s��u���s�\�I��G�EzN$~%��ȷ�}�/�/,����r�c֗�/�7��d�n�� �>>�x�ӧ�a����W��|��|��d��K}��IA���j�+z��� ����L����� FUND EXPENSES (%) Class I Class R6 Class A Gross Expense Ratio 0.73 0.63 0.98 Net Expense Ratio 0.73 0.63 0.98 Gross Expense Ratio is the fund's total operating expense ratio from the fund's most recent prospectus. Ask your representative for a copy, or contact AGF Investments Inc. at … $254,160.9: Companies/Issuers Holdings are as of 12/31/2020 (updated quarterly). <> 6 0 obj GFIIM awarded One-Year Overseas Golden Bull Private Fund Company (E... 2017-06-22. endobj Read more >> About Us. endobj 5 0 obj Compare Chart | Fund Facts Search. QUICK FACTS Fund code(s): CCM3104 Date series started: October 3, 2013 Total value of fund on April 30, 2020: $138.98 million Management expense ratio (MER): 0.99% Fund manager: IA Clarington Investments Inc. �R<3J�̖@�9�� fj��}��48/ :6�!驫�& נ_;������:�pJsM#� �C����s�� 18 0 obj endobj �0�:Po2�����/����_����(|�^��p�׃^/�3�n�k��PWz(?��fc��L+q�`��72,���r���ň�ňy2�Nr�`!��a!����M4L���Xn-��AD��l�z.���k����cu? This and other important information is contained in the fund prospectuses, summary prospectuses, CollegeAmerica Program Description and ABLEAmerica Program Description which can be obtained from a financial professional and should be read carefully before investing. These are high-level facts about a fund that an investor can use to help evaluate an investment option, including total net assets of a fund, expense ratio, and the current net asset value of the fund. <>/ParentTreeNextKey 4>> 2.3 Acronyms. I/we acknowledge that investing in this [fund] may involve special risks that could lead to a loss of all or a substantial portion of any investment that I/we make in this [Fund].” 12. ���>�`y����́7�w�����ۅ�k5>�F*���������xw`�R�O���p�;��&�:�g~��,�A 17 0 obj endobj endobj The fund invests primarily in short-term fixed income securities issued by Canadian governments and corporations, and first mortgages on property located in Canada. Close tooltip. This document contains key information you should know about Sun Life Granite Balanced Class - Series A. KEY FACTS Fund Launch Date 09/22/2003 Net Expense Ratio 0.04% Benchmark Bloomberg Barclays US Aggregate Bond Index 30 Day SEC Yield 1.14% Number of Holdings 8,327 Net Assets $85,210,065,425 Ticker AGG CUSIP 464287226 Exchange NYSE Arca TOP HOLDINGS (%) … FUND FACTS FUND PERFORMANCE (annualized) ASSET ALLOCATION Structure Open Ended Fund Type Gilt Edged Fund Inception Date 25-Jan-16 Minimum initial investment (LKR) 1 Million Fund Size (LKR) 2,662.86 Million 07 Day Yield (24 Dec –31 Dec) 8.50% 01 Month Return* 8.70% YTD (31 Dec 16 -31 Dec 17) 9.61% 01 Year Return* 9.61% Since Inception* 9.21% FUND FACTS Cambridge Asset Allocation Corporate Class (Series O shares) July 29, 2020 This document contains key information you should know about Cambridge Asset Allocation Corporate Class. 21 0 obj <>/ProcSet[/PDF/XObject/Text]/XObject<>/Font<>>>/Contents[24 0 R]/Parent 3 0 R/TrimBox[27 27 639 819]/Tabs/S/StructParents 2>> FUND FACTS Signature Canadian Balanced Fund (Series F units) July 29, 2020 This document contains key information you should know about Signature Canadian Balanced Fund. <>stream 19 0 obj endobj 19 0 obj endobj endstream 11 0 obj 12/6/2012. Updated NAV Pricing for Cambridge Canadian Dividend Fund A- Fe (CADFUNDS: CIG11112.CF). This fund’s objective is to provide a high after-tax return, which includes dividend income and capital gains from growth in the value of your investment. <> endobj 16 0 obj endobj endobj <>stream endobj Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated. Global Fund Guidelines FINANCIAL CLOSURE REPORT July 2018 INTRODUCTION When a grant reaches the end of an implementation period or ends following a decision by the Global Fund Secretariat, the grant or the implementation period needs to be closed. The Financial Closure Report is a progress update by the Principal Recipient after the end of the 24 0 obj In one particular case, a redemption fee of 6 per cent is charged if you sell in the first year after you buy. One of the principal risks of investing in the fund is market risk. 1 0 obj <> %���� endobj The fund invests primarily in dividend-yielding common and preferred shares of established Canadian companies. The fund's shares will change in value and you could lose money by investing in the fund. endobj <>/ProcSet[/PDF/XObject/Text]/XObject<>/Font<>>>/Contents[98 0 R]/Parent 3 0 R/TrimBox[27 27 639 819]/Tabs/S/StructParents 3>> Fund Facts does a nice job of disclosing potential DSC fees. endobj Fund Facts April 22, 2020 This document contains key information you should know about AGF Emerging Markets Fund. Before you invest in any fund, consider how the fund would work with your other investments and your tolerance for risk. Read more >> Latest News. Charting, Tear Sheets, Fund Holdings & more. <> [123 0 R 124 0 R 125 0 R 126 0 R 129 0 R 128 0 R 130 0 R 131 0 R 132 0 R 133 0 R 35 0 R 134 0 R 135 0 R 136 0 R 137 0 R 138 0 R 139 0 R 140 0 R 141 0 R] 3 0 obj Fund Facts. You can find more detailed information in the fund's simplified prospectus. More. You can find more detailed information in the fund's simplified prospectus. 4 0 obj �г`q�j!YV_����@t�ʝY���q�����g��4�j�-�i9��N }�gw��&V��ŷ|�1��W���9�;��A$��A2������6I!�7�'�V�.��W��2A��6�J�:�h�e&�Y����k�23����z �s���ܚ9c|�H�aJ�q����m��72���F� wy�V*�ۭk��|�PցrY�7��8����W��N�;RZx�O٠��2�� "q�f��S�P�OCO~-�-��. <> 9 0 obj endobj Investment return and principal value of an investment will fluctuate; therefore, you may have a gain or loss when you sell your shares. <> <>/ProcSet[/PDF/XObject/Text]/XObject<>/Font<>>>/Contents[88 0 R]/Parent 3 0 R/TrimBox[27 27 639 819]/Tabs/S/StructParents 1>> Effective on or about November 1, 2019, the back-end load, low-load, and low-load-2 purchase options will no longer be available for purchase. %���� Please consult your advisor and read the prospectus or Fund Facts document before investing. 20 0 obj endobj 13 0 obj Investors should carefully consider investment objectives, risks, charges and expenses. endobj 1 0 obj There may be commissions, trailing commissions, management fees and expenses associated with mutual fund investments. ���7�|�Wޗ O��7�7\L��,c�Z,ҏ���$�a冨m�c�xh_�����ו���K��T)M�'pKşE�#r�67ո5l�hcfH=$��;Ҕ�aK� ��F�����~\A�pN,u�RO���@4?-��RE�>��s&{��)X.͵XR�|�G�^��ϫ{��YV���xF#4:��{��J�R(?�T�W��S�a/���,S�$(�+9F�I֫E;vpw�� +�r?��2r�ꦫ%�兞Dt��5���I�����f��p �luۍ��5ڮ w��|l\Ń��M�D�ߌΟ3�sK���� Legal & General Investment Management Limited has been appointed as the discretionary investment manager for these Funds and is Registered in England and Wales No. 371+ Shareholder Accounts Shareholder accounts are as of 1/31/2021. A growth fund is a mutual fund or exchange-traded fund (ETF) that includes companies primed for revenue or earnings growth at a pace that is faster than … 22 0 obj 20 0 obj Morningstar Category. <>/ProcSet[/PDF/XObject/Text]/XObject<>/Font<>>>/Contents[64 0 R]/Parent 3 0 R/TrimBox[27 27 639 819]/Tabs/S/StructParents 0>> <>>>/BBox[0 0 129.6 45.42]/Length 39>>stream 15 0 obj endobj <>/Font<>>>/Parent 7 0 R/Annots[8 0 R 9 0 R 10 0 R 11 0 R 12 0 R 13 0 R]/MediaBox[0 0 612 792]>> FUND FACTS SLGI A sset Management Inc. Sun Life Granite Balanced Class - Series A. July 21, 2020. You can find more detailed information in the fund's simplified prospectus. The fund invests primarily in dividend-yielding common and preferred shares of established Canadian companies. Before you invest in any fund, consider how the fund would work with your other investments and your tolerance for risk. 3 0 obj endobj <>stream Fund Facts Inception date April 02, 1991 Team inception date August 05, 2004 Total net assets $ 17.1 billion Benchmark Russell 1000 Growth Index Distribution frequency Annually Statistics (3 Year Annualized) CLASS I INDEX Alpha (%) 16.12 --Beta (vs. benchmark) 1.13 1.00 Excess return (%) 18.93 --Information ratio 1.40 --R squared 0.74 1.00 endobj Fund Products. FUND. 12 0 obj First wholly Chinese-owned asset manager to launch in Europe. The fund may invest up to 30% of the fund’s assets in foreign securities. <> endobj <> <> Fund Facts April 22, 2020 This document contains key information you should know about AGF Elements Balanced Portfolio. The fund may invest no more than 30% of its assets in foreign securities. [107 0 R 95 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 70 0 R 96 0 R 97 0 R 73 0 R 51 0 R 86 0 R 33 0 R 110 0 R 111 0 R 112 0 R 74 0 R 127 0 R 113 0 R 114 0 R 99 0 R 100 0 R 90 0 R 89 0 R 91 0 R 101 0 R 102 0 R 115 0 R 116 0 R 117 0 R 118 0 R 87 0 R 66 0 R 29 0 R 67 0 R 65 0 R 119 0 R 120 0 R 121 0 R 122 0 R] endstream endobj 7 0 obj endobj <>/MarkInfo<>/Lang(en-CA)/StructTreeRoot 4 0 R/Metadata 5 0 R>> Fund International/global growth Mutual Fund Retail Share Classes Data as of Dec. 31, 2020 Investment objective The fund seeks long-term growth of capital. Fund Inception 12/01/1973: Fund Assets (millions) As of 1/31/2021. Quick facts Fund code ISC DSC LSC LSC2 (C$) TDB826 TDB836 TDB846 TDB125 <> <> endobj �%�̦�۶�FN�OW�w�T���[Y���h�40͂p����R�$�x�����zG5�W�f�$�u����.O=����ܷ�9��ԓx����z�0J�Y��g��P��ˊ�N�g�e*C ]����/ 3��V���^�'Z�F�Y��0����+������>7�����xWz�B��]���2 U&��D�L`5�=2Y��9���}/T�@n�� ��n�r]@}g�o[:�s*��p��>?v�SP�C��z� �`���◟;J���,���s�n�s�+�W�C=$��/�^?����~mp:ʗn�+����T��F�Y��b�r�疹"ħ�p0��x���!>�M��M����;�OF�I����g�'��y6��뼮��x([���e'nN��I�y���F����>`��r+��!�����qt�+Z�qބ��@���w�;��'�W The performance data featured represents past performance, which is no guarantee of future results. This fund’s objective is to provide a high after-tax return, which includes dividend income and capital gains from growth in the value of your investment. Trust Fund means the “Trust Fund for the Global Fund to Fight AIDS, Tuberculosis and Malaria” established by the Global Fund with the World Bank. <> ��;4{�-ki�f�?�t֤�H����6[��6#�k�I that it is intended that the [Fund] is only suitable for investors who understand the risks involved in acquiring such investment. <> GFI's Flagship Active Balanced Fund Among the First Batch to Be App... 2015-12-18. endobj 02091894. Unless otherwise defined herein, the acronyms used in any Grant Agreement shall have their respective meanings as … %PDF-1.5 263,216: Regular Dividends Paid … Large Blend. endobj <> endobj The fund may invest up to 30% of the fund’s assets in foreign securities. x��]]��q}��b��$j��@�:p����֛������ZŎ��}H6�&O��=s箍@����&Yu�X,������t��zz�����~���?���|����篧�� �>?����|���|��_~~�������O������?�����I����������/w�����}����O}w�~��'�N�Nwo�)?|�oߞ�R����gw�NM�����O��1i���ӌ1��?>�{�%��S�K�x+P��GY�}i�/���j2����%��}5,����Όi�|���S����@�.��e)&k|�bE,s����Ѳ�L���p9��׬�kba���i��&繴��R�u}^X�r�cM��r�ͫ���(���ɪȩ�3��FP§[��ƈ�yy>BdD����;\��O�"O�p�4��S�TP�f�EeŘ�d|r Net Expense Ratio reflects the reduction of expenses from contractual fee waivers and reimbursements. Issued by Legal & General Investment Management Limited as promoter and distributor for this fund in the UK. <> The charts below give you a snapshot of the fund's investments on May 31, 2020. yˡ�}�S��o��۽�nw������fL�[ 23 0 obj 8 0 obj endstream Get MUTUAL:GGF99721 mutual fund information for BMO-Guardian-North-American-Div-Advisor, including a fund overview, , Morningstar summary, tax analysis, sector allocation, and more FUND FACTS Product(s) Portfolio Bond (IPS) Launch date 30 June 2003 Fund size £531.8 million Number of holdings 3,148 Annual Fund Charge (AFC) 1.30% Additional expenses 0.05% Performance fee No Legal & General fund code DDEU USING THIS FUND FACTSHEET FUND MANAGEMENT COMPANY LEGAL & GENERAL Ask your representative for a copy, or contact AGF Investments Inc. at … Market risk is the risk that a particular security owned by the fund, fund shares or securities in general may fall in value. %PDF-1.5 Ѩ��u=�f�ϣt�rQ���>t�d���]A)N��n��imP�v.�эMO���%��Dž�"i^���*�LА��"�Nfr�BL�YD1����4��&�Q�k�K�E����hUN�m/�P�T�^�Oalh�v�༰�+u�. The Green for Growth Fund (GGF) is an impact investment fund that mitigates climate change and promotes sustainable economic growth, primarily by investing in measures that reduce energy consumption, resource use and CO 2 emissions. Current performance may be higher or lower than the performance data quoted. <> A summary prospectus, if available, or a Prospectus for the Fund containing more information may be obtained from your authorized dealer or from Goldman Sachs & Co. LLC by calling (Retail - 1-800-526-7384) (Institutional - 1-800-621-2550). endobj You can find more detailed information in the fund's simplified prospectus. 6 0 obj 14 0 obj This fund's objective is to achieve a high level of after-tax return, including dividend income and capital gains, from growth in the value of your investment by investing primarily in dividend-yielding common and preferred shares of established Canadian companies. Fund Inception. 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