Fund code: 2147

  • NAV $17.05 $0.01 / 0.06%
    20-Mar-2025
  • Inception 16-Oct-2020
  • Benchmark MSCI World Index
  • Aggregate exposure
    Long 107.8%
    Short -49.3%
    Net 58.4%
    Cash 41.6%
    31-Jan-2025
  • Aggregate assets
    (all series)
    $1.063B
    28-Feb-2025
  • MER 2.69%
    31-Dec-2024
  • Distributions
  • Morningstar category Alternative Equity Focused
  • Also available through ETF Series CDN$, Trust US$ and Trust T-Series
  • Get Fund Facts

End investment

Annualized return

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Start NAV

$10.0000

End NAV

$10.4031
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Calendar returns (%) 28-Feb-2025

YTD 2025 2024 2023 2022 2021
Fund 8.05 -17.49 -28.83 66.14 0.28

Standard period returns (%) 28-Feb-2025

1 mo 3 mo 6 mo 1 yr 3 yr Inception
Fund 9.94 10.60 -7.17 -1.11 -2.68 2.94

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.

Risk measures (%) 28-Feb-2025

Fund
Annualized standard deviation 23.57
Beta -0.98
0.28

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-Jan-2025
Long Short Net
Foreign Equities 97.2 -49.3 47.8
Canadian Equities 10.6 - 10.6
Cash & Other 43.3 -1.8 41.6

Country mix (%)

31-Jan-2025
Long Short Net
United States 75.5 -46.6 29.0
United Kingdom 22.7 - 22.7
Canada 10.6 - 10.6
France 8.5 - 8.5
China 8.2 - 8.2
South Korea 5.2 - 5.2
Germany 4.7 - 4.7
Brazil 4.2 - 4.2
Japan 2.9 - 2.9
Switzerland 3.5 -0.7 2.8
Denmark 1.9 - 1.9
Netherlands 1.5 - 1.5
Belgium 1.2 - 1.2
Italy 0.5 - 0.5
Australia - -1.1 -1.1
Taiwan - -1.1 -1.1

Sector mix (%)

31-Jan-2025
Long Short Net
Consumer Staples 58.1 - 58.1
Health Care 12.6 -1.0 11.6
Communication Services 9.3 -4.5 4.8
Industrials 5.8 -2.5 3.3
Materials 2.4 - 2.4
Energy 1.3 - 1.3
Utilities 2.3 -1.0 1.3
Information Technology 7.5 -13.7 -6.2
Financials 2.5 -11.4 -8.9
Consumer Disc. 6.1 -15.3 -9.2

Top ten holdings

LONG

  1. Diageo
  2. British American Tobacco
  3. Imperial Brands
  4. REMY COINTREAU SA
  5. Metro
  6. Bayer
  7. Nestlé (Reg.)
  8. Pernod-Ricard
Top ten long holdings aggregate 32.3%

SHORT

  1. PALANTIR TECHNOLOGIES INC
  2. Carvana
Top ten short holdings aggregate -7.8%
Top ten holdings aggregate 24.5%
Total number of holdings 85

LONG

  1. Bayer
  2. Imperial Brands
  3. British American Tobacco
  4. Diageo
  5. JD.COM INC SPON ADR
  6. Metro
  7. Johnson & Johnson
  8. Pfizer
Top ten long holdings aggregate 30.5%

SHORT

  1. Carvana
  2. PALANTIR TECHNOLOGIES INC
Top ten short holdings aggregate -8.8%
Top ten holdings aggregate 21.7%
Total number of holdings 88

LONG

  1. Imperial Brands
  2. Philip Morris
  3. Metro
  4. British American Tobacco
  5. Johnson & Johnson
  6. Altria Group
  7. Pfizer
  8. TMX Group
  9. Nestlé (Reg.)
Top ten long holdings aggregate 36.0%

SHORT

  1. Carvana
Top ten short holdings aggregate -4.9%
Top ten holdings aggregate 31.1%
Total number of holdings 81

LONG

  1. JD.COM INC SPON ADR
  2. Johnson & Johnson
  3. British American Tobacco
  4. TMX Group
  5. Diageo
  6. Metro
  7. Pfizer
  8. Nestlé (Reg.)
Top ten long holdings aggregate 35.4%

SHORT

  1. Carvana
  2. Coinbase Global
Top ten short holdings aggregate -9.2%
Top ten holdings aggregate 26.2%
Total number of holdings 63
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