Dynamic total return bond fund series f
WebScotia Global Equity Fund, Series I 15.0% 3. Dynamic Total Return Bond Fund, Series O 14.6% 4. Scotia Canadian Income Fund, Series I 10.6% ... This is the total of the Series F units of the Fund's management fees, fixed administration fees and fund costs. 0.89% Trading expense ratio (TER) These are the Fund’s trading costs. 0.05% WebDynamic Total Return Bond Fund, Series "O" 22.4% 2. Dynamic Canadian Bond Fund, Series "O" 14.7% 3. Dynamic Global Equity Fund, Series "O" 10.5% 4. Dynamic Global Equity Income Fund, Series "O" 8.9% ... This is the total of the Series F shares of the Fund's management fees, fixed administration fees and fund costs. 1832
Dynamic total return bond fund series f
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WebPool, Series "I" 5.2% 4. Dynamic Total Return Bond Fund, Series "O" 4.1% 5. United States Treasury, 4.125% Sep. 30 27 3.1% 6. Royal Bank of Canada 2.7% 7. Microsoft Corporation 2.1% ... This is the total of the Series F units of the Fund's management fees, fixed administration fees and fund costs. 1.03% Trading expense ratio (TER) WebDynamic Total Return Bond Fund2 0.65% 0.600% 0.575% 0.525% 2569 – – 2626 2559 ... • Same features as Series F, with fixed monthly distributions • Customizable cash flow rates (subject to maximums) • Monthly fixed distributions reset January 1 FH*
WebDynamic Credit Spectrum Fund(Series A, F, FH, H, I and O units) Dynamic High Yield Bond Fund(Series A, F, FH, FP*, G**, H, I, O and P* units) Dynamic Investment Grade Floating Rate Fund(Series A, F, FH, H, I and O units) Dynamic Money Market Fund(Series A and F units) Dynamic Short Term Bond Fund(Series A, F, FH, H, I and O units) WebFeb 28, 2024 · Risk Return (Based on Series F) Return (%) Risk (standard deviation) 3.07.011.0-20%. 3-YR. AGF Total Return Bond Class. Peer. Morningstar category performance is calculated as the average return of a portfolio constructed of all series of all funds in the category as of the end of each month.
WebMay 10, 2024 · Depositary receipts, credit default swaps and equity total return swaps are normally combined with the underlying security. The listing of portfolio holdings provides information on a fund’s investments as at the date indicated. The information provided in this listing may differ from a fund’s holdings in its annual report. WebDynamic Canadian Bond Fund, Series "O" 29.8% 2. Dynamic Total Return Bond Fund, Series "O" 23.2% 3. Dynamic Dividend Fund, Series "O" 7.6% ... This is the total of the Series F shares of the Fund's management fees, fixed administration fees and fund costs. 1832 Asset Management L.P. waived some of the expenses. If it had not done so, the …
WebApr 10, 2024 · Dynamic Total Return Bond Series O 22.76%: 8.360-0.61% Dynamic Canadian Bond Series O ... Fund Owner Firm Name: Dynamic Funds: Prospectus Benchmark Index: S&P/TSX Composite TR: 100.0%: Broad Asset Class Benchmark Index ^SPTSX60TR: 100.0%: Manager Tenure: Craig Maddock: 0.87 yrs: Ian Taylor:
WebDynamic Total Return Bond Class - Series F Year-by-year returns This chart shows how the Series F shares of the Fund have performed in each of the past 10 calendar years. … list of iiits and thier rankingWebDynamic Total Return Bond Fund, Series O 8.8% 5. Scotia Canadian Dividend Fund, Series I 8.5% 6. Scotia Canadian Income Fund, Series I 6.6% ... This is the total of the Series F units of the Fund's management fees, fixed administration fees and fund costs. 0.98% Trading expense ratio (TER) These are the Fund’s trading costs. 0.07% imax theater in slcWebOct 23, 2004 · Updated NAV Pricing for Dynamic Total Return Bond Fund Series O - NL (CADFUNDS: DYN2576.CF). Charting, Tear Sheets, Fund Holdings & more. imax theater in west yellowstone mtWebWho is this fund for? Investors who: want to invest in fixed-income securities but are seeking a higher potential total return than available on money market instruments or short-term bonds, but do not require regular income from their investment. are seeking the benefits of diversification through a core bond holding within an overall balanced ... list of iisers in indiaWebFund Codes FE F Q W C$ MF 792 824 1211 1421 US$ MF 492 724 – – Series V 3037 – – – Fund Details Fund type: Global Bond Fund start date: June 15, 1994 Total net MER~: 1.82% Risk profile: Low Med High Tristan Sones, CFA Tom Nakamura, CFA AGF Investments Inc. AGF Investments Inc. Effective June 1, 2024, LL/DSC purchase options … imax theater in wisconsinWebApr 6, 2024 · Basic Info. Investment Strategy. The Fund seeks to achieve high income and long term capital growth by investing in a diversified portfolio of fixed income and income … list of iit offering mbaWebDynamic Total Return Bond Fund(Series A, F, FH, FT, G**, H, I, O and T units) Dynamic International Dividend Private Pool(Series A, F, FH, H, I and O Units) Dynamic North American Dividend Private Pool(Series A, F, FH, H, I and O Units) Dynamic Power Funds imax theater in springfield mo