Fund code: 7590

  • NAV $10.02 $0.00 / 0.05%
    28-May-2026
  • Inception 13-May-2026
  • Benchmark ICE BofA 1-3 Year Global Corporate Index, CAD Hedged
  • Distributions Monthly
  • Also available through ETF Series CDN$ and Trust US$
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In accordance with National Instrument 81-102, performance cannot be shown until one year after a fund's inception.

Start NAV

$10.0000

End NAV

$10.4031
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Calendar returns

In accordance with National Instrument 81-102, performance cannot be shown until one year after a fund's inception.

Standard period returns

In accordance with National Instrument 81-102, performance cannot be shown until one year after a fund's inception.

Why invest in this fund?

  • Nimble alternative fixed-income strategy: Dynamic approach to positioning and long/short exposure potentially offers a better risk-adjusted return than long-only strategies, with a lower anticipated volatility profile
  • Global, unconstrained opportunity set: Invests across global fixed-income markets including, but not limited to, investment grade corporate bonds, government bonds and up to 25% in high-yield bonds denominated in various currencies
  • High quality bias: Focuses on quality issuers and active management of downside risk to manage asymmetric nature of bond returns
     

Risk measures

Risk measures cannot be calculated on funds that are less than three years old. This fund does not yet meet the required criteria.

Risk classification

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

This fund has a low volatility rating