25.16
+0.11(+0.44%)
Currency In CAD
Address
Canada
Phone
N/A
Website
N/A
Sector
Financial Services
Industry
Asset Management
Employees
N/A
First IPO Date
June 03, 2020
The fund seeks to provide low-volatility take on Canadian large- and midcap stocks. Using historical standard deviation and correlation between stocks, the portfolio managers seek to optimize the portfolio by overweighting stocks expected to deliver less volatile returns and underweight or exclude more volatile stocks. As a result of this underweighting, the fund may not benefit from strong Canadian equity markets. There are also no assurances the portfolio is able to achieve lower volatility. Any distributions available to investors are expected to be made quarterly.