Transcription of Multi-Management 90/10 Fund - DFS
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Multi-Management 90/10 FundFund CategoryCanadian equity BalancedGeneral InformationFund Code404/410 fund InceptionSeptember 2002 fund Assets ($Mil) CompanyMulti-ManagerVolatility AnalysisDescriptionInvestmentCategoryLow ModerateHighInvestment ObjectiveThis fund targets an annualized return higher than thatof the combined benchmarks hereinafter, over four-yearmoving Bloomberg Barclays Multiverse, 8% FTSE Canada UniverseBond, S&P/TSX, MSCI ACWI NetInvestor ProfileSpeculative ProfileThis fund is composed of a portfolio of underlying fundsthat emphasizes strong capital growth over the long-term. It invests in a wide array of pooled funds, with astrong concentration in Canadian and foreign equityfunds and a small percentage in fixed income tolerance: Very highNotesThe fund 's composition was last changed on March 28,2018. The benchmark was last changed on April 1, fund s target asset class allocation was modified onSeptember 18, 2015.
Printed on July 25, 2018 Multi-Management 90/10 Fund Fund Category Canadian Equity Balanced General Information Fund Code 404 Fund Inception September 2002
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