• NAV $9.84 28-Aug-2026
  • $0.28 / 2.93% Daily NAV change
  • 15.10% YTD return
  • MARKET PRICE 28-Aug-2026
  • $9.85   
  • Inception 01-Feb-2024
  • Aggregate exposure
    Long 104.5%
    Short -43.7%
    Net 60.8%
    Cash 39.2%
    31-Jul-2026
  • Aggregate assets
    (all series)
    $1.983B
    31-Jul-2026
  • Units outstanding 5,180,000
    28-Aug-2026
  • Management fee 1.15%
  • MER 1.50%
    31-Dec-2025
  • Investment program DRIP
  • Distributions Annually
  • Benchmark MSCI World Index
  • Exchange Cboe CA
  • CUSIP 31623A828
  • Morningstar category Alternative Equity Focused
  • Also available through: Trust US$, Trust CDN$ and Trust T-Series S5
  • Get ETF Facts

End investment

Annualized return

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Start NAV

$10.0000

End NAV

$10.4031
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Why invest in this fund?

  • Seeks to exploit mispricing of value oriented stocks
  • Utilizes a combination of long and short positions
  • Potential complement to traditional portfolios.

Calendar returns (%) 31-Jul-2026

YTD 2026 2025
ETF (NAV) 14.08 8.46
ETF (Market price) 14.05 8.38

Standard period returns (%) 31-Jul-2026

1 mo 3 mo 6 mo 1 yr Inception
ETF (NAV) 20.77 15.59 10.87 19.15 -1.00
ETF (Market price) 19.80 14.72 10.81 18.49 -0.69

Risk measures (%) 31-Jul-2026

Fund
Annualized standard deviation 26.74
Beta -1.66
0.43

Risk classification

  1. Low
  2. Low to medium
  3. Medium
  4. Medium to high
  5. High

This fund has a high volatility rating

Allocation

Asset mix (%)

31-Jul-2026
Long Short Net
Foreign Equities 95.4 -39.0 56.4
Canadian Equities 9.2 -4.7 4.4
Cash & Other 39.3 -0.1 39.2

Country mix (%)

31-Jul-2026
Long Short Net
United States 100.6 -37.2 63.4
United Kingdom 14.2 - 14.2
France 5.3 - 5.3
Canada 9.2 -4.7 4.4
China 3.4 - 3.4
Netherlands 2.6 -1.8 0.9
Nigeria 0.8 - 0.8
Mexico 0.6 - 0.6
Italy 0.1 - 0.1
Multinational - - -
Japan - - -
Sweden - - -
Australia - - -

Sector mix (%)

31-Jul-2026
Long Short Net
Consumer Staples 24.4 - 24.4
Health Care 20.4 - 20.4
Consumer Disc. 9.9 - 9.9
Communication Services 9.0 -1.6 7.4
Industrials 10.7 -7.3 3.4
Materials 0.9 -0.3 0.6
Information Technology 26.3 -27.0 -0.6
Utilities - -0.7 -0.7
Financials 2.9 -6.9 -4.0

Top ten holdings

  1. British American Tobacco
  2. Constellation Software
  3. Imperial Brands
  4. Cognizant Technology Solutions
  5. Lululemon Athletica
  6. Adobe
  7. Intuit
  8. Boston Scientific
  9. Diageo
  10. NUVALENT INC-A
Top ten long holdings aggregate 37.2%
Top ten short holdings aggregate -21.6%
Total number of holdings 110
  1. Constellation Software
  2. Hologic
  3. Adobe
  4. British American Tobacco
  5. Imperial Brands
  6. Amicus Therapeutics
  7. Pfizer
  8. Metro
  9. Diageo
  10. Constellation Brands
Top ten long holdings aggregate 33.6%
Top ten short holdings aggregate -16.0%
Total number of holdings 117
  1. British American Tobacco
  2. Imperial Brands
  3. Metro
  4. Diageo
  5. Target
  6. Pernod-Ricard
  7. Pfizer
  8. Cidara Therapeutics
  9. Hologic
  1. Palantir Technologies Inc. (SHORT)
Top ten long holdings aggregate 34.5%
Top ten short holdings aggregate -21.1%
Total number of holdings 114
  1. Imperial Brands
  2. Bayer
  3. British American Tobacco
  4. Diageo
  5. Pernod-Ricard
  6. Metro
  7. Pfizer
  8. Johnson & Johnson
  1. Palantir Technologies Inc. (SHORT)
  2. D-Wave Quantum Inc. (SHORT)
Top ten long holdings aggregate 38.0%
Top ten short holdings aggregate -27.7%
Total number of holdings 95
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