Franklin Bissett Canadian Dividend Fund

Size: px
Start display at page:

Download "Franklin Bissett Canadian Dividend Fund"

Transcription

1 Franklin Bissett Canadian Dividend Fund Product Profile Product Details Fund Assets $592,666, Fund Inception Date 12/22/2003 Base Currency Morningstar Category Distribution Frequency Fund Codes 1 Series Series A Front Series A DSC Series A Low Load Series F Series F ADM Series I Series O Series PF Series PF ADM Corporate Class Series A Front Series A DSC Series A Low Load Series F Series FT Series I Series O Series OT Series PF Series T Front Series T DSC Series T Low Load Canadian Dividend & Income Equity Monthly TML1017 TML1018 TML1019 TML1020 TML3989 TML3870 TML1021 TML3886 TML5057 TML3476 TML3478 TML3477 TML3479 TML3483 TML3480 TML3481 TML3482 TML3809 TML3484 TML3486 TML3485 Series I and V closed to new investors as of November 22, Beginning in January 2017, investors switching between Corporate Class funds will trigger a capital gain or loss at the time of the switch due to certain changes in the income tax laws made by the federal government in Fund Description The fund seeks long-term capital appreciation by investing primarily in dividend-paying or incomeproducing Canadian securities, including common shares, income trust units and preferred shares. Portfolio managers look for quality companies at reasonable prices that have a proven ability to deliver a consistent and growing level of dividends over time. Performance Data 2,3,4 Average Annual Total Returns 5 (%) Since Inception 3 Mths YTD 1 Yr (04/25/2016) Series A Management Expense Ratio (as of 12/31/2017 incl. HST) 2.33% The indicated rates of return are the historical annual compounded total returns including changes in share or unit value and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder that would have reduced returns. Please call Franklin Templeton Client Services at or visit for the most recent month-end performance. 10% 5% 0% -5% Series A Mths YTD 1 Yr Since Inception Portfolio Manager Insight Calendar Year Returns (%) 2017 Series A 4.19 Market Review After a bumpy first quarter, volatility diminished in the second quarter and the S&P/TSX Composite Total Return Index (TRI) advanced 6.8%, its strongest increase since the fourth quarter of The S&P/TSX Composite TRI has now advanced in three of the past four quarters. Given the strength, ADM refers to the Investment Advisory Services Fee purchase option for series F,FT, PF, PF(Hedged), and PFT. Please see the simplified prospectus for further details. 2. Effective April 22, 2016, Franklin Bissett Canadian High Dividend Fund merged into Franklin Bissett Canadian Dividend Fund. Accordingly, past performance data for the period prior to April 22, 2016, would not be comparative. As a result of the merger, the fund s since inception performance calculations use the start date of April 25, The fund offers other series subject to different fees and expenses, which will affect their performance. 4. Source for Index: FactSet. Indexes are unmanaged, and one cannot invest directly in an index. They do not reflect any fees, expenses or sales charges. 5. Periods shorter than one year are shown as cumulative total returns. 6. The information provided is not a complete analysis of every material fact regarding any country, market, industry, security or fund. Because market and economic conditions are subject to change, comments, opinions and analyses are rendered as of the date of this material and may change without notice. A portfolio manager s assessment of a particular security, investment or strategy is not intended as individual investment advice or a recommendation or solicitation to buy, sell or hold any security or to adopt any investment strategy; it is intended only to provide insight into the fund s portfolio selection process. Holdings are subject to change.

2 the Canadian equity market set a new all-time high on June 22, 2018, surpassing the prior high set on January 4, For a longer-term perspective, the S&P/TSX Composite TRI has posted an unannualized return of 182.8% (11.8% annualized) since the bear market low on March 9, 2009, remaining well entrenched in the current bull market run. For the second quarter, ten of 11 Global Industry Classification sectors posted positive total returns. The best-performing sector was energy (15.8%), followed by health care (14.3%) and information technology (10.9%). The only declining sector was utilities (-0.4%). Performance Review In the second quarter, the fund generated an absolute return of 4.8% (Series A, net of fees). From an absolute return standpoint, the most notable contributors in the second quarter included Enbridge (17.8%), Enbridge Income Fund (17.7%), Inter Pipeline (12.1%) and Vermilion Energy (15.9%) in energy, Nutrien (18.3%) in Materials, Canadian National Railway (14.7%) in industrials and Rogers Communications (9.4%) in telecommunication services. The most notable detractor from absolute performance was Bank of Nova Scotia (-4.2%) in financials. The fund is overweight the utilities, energy and telecommunication services sectors and underweight the materials, industrials and information technology sectors. The fund experienced negative security selection and interaction and sector allocation in the second quarter. Pockets of underperformance among individual energy holdings in energy were partially offset by individual industrial and holdings in industrials and materials. In energy, notable detractors included the fund s overweight position in ARC Resources (-2.2%), as well as not owning the outperforming Suncor Energy (21.1%) and Canadian Natural Resources (18.1%). This was partially offset by the fund s overweight position in Vermilion Energy (15.9%). In industrials, the fund s overweight stance in Horizon North Logistics (26.2%) was a notable positive contributor to relative performance. Other notable detractors from performance included the fund s overweight positions in the underperforming Canadian Imperial Bank of Commerce (1.7%), IGM Financial (2.7%) and Power Financial (-2.0%) in financials, as well as Brookfield Infrastructure Partners (-4.6%), Brookfield Renewable Partners (0.0%) and Fortis (-2.4%) in utilities. From a sector allocation standpoint, the most notable detractor was an overweight position in the underperforming utilities sector, partially offset by being overweight the outperforming energy sector. Trading activity was steady in the second quarter as we were presented with a number of attractive rebalancing opportunities. Additions included Enbridge, Keyera and PrairieSky Royalty in Energy, Nutrien in materials, Manulife and Sun Life in financials and Metro in consumer staples. Positions trimmed included Enbridge Income Fund and Peyto Exploration & Development in energy, Methanex in materials, Bank of Montreal, The Bank of Nova Scotia, Canadian Imperial Bank of Commerce and the Toronto-Dominion Bank in financials, and Capital Power in utilities. We also established new positions in two stocks, convenience store operator Alimentation Couche-Tard and utility provider Canadian Utilities. We eliminated Choice REIT. Outlook & Strategy The fund has been actively managed through several market regimes of strong and weak sentiment and varying sources of sector leadership. We continue to believe that our performance objectives represent a compelling value proposition. Our confidence is unwavering in the quality of the investment opportunity set, our research capabilities and our ability to consistently execute our investment process. Portfolio Characteristics 7,8 Portfolio S&P/TSX Composite Index Market Capitalization (Millions in ) 42,923 47,838 Dividend Yield 4.23% 2.79% Portfolio Diversification Top Ten Holdings 9 Percent of Total Top Holdings Sector % ROYAL BANK OF CANADA Banks 5.89 CANADIAN IMPERIAL BANK OF COMMERCE Banks 5.21 TORONTO-DOMINION BANK Banks 5.18 CANADIAN NATIONAL RAILWAY CO Transportation 4.66 ENBRIDGE INC Energy 4.18 BANK OF MONTREAL Banks 3.94 BANK OF NOVA SCOTIA Banks 3.94 IGM FINANCIAL INC Diversified Financials 3.73 POWER FINANCIAL CORP Insurance 3.41 INTER PIPELINE LTD Energy The portfolio characteristics listed are based on the fund s underlying holdings, and do not necessarily reflect the fund s characteristics. Information is historical and may not reflect current or future portfolio characteristics. All holdings are subject to change. 8. The dividend yield quoted here is the yield on securities within the portfolio and should not be used as an indication of the income received from this portfolio. 9. Holdings of the same issuers have been combined. Top ten holdings information is historical and may not reflect current or future portfolio characteristics. All holdings are subject to change. The information provided is not a recommendation to purchase, sell, or hold any particular security. The securities identified do not represent the fund s entire holdings and in the aggregate may represent only a small percentage of such holdings. There is no assurance that securities purchased will remain in the fund, or that securities sold will not be repurchased. The portfolio manager for the fund reserves the right to withhold release of information with respect to holdings that would otherwise be included. franklintempleton.ca 2

3 Sector Weightings vs. S&P/TSX Composite Index 10 Percent of Equity Equity Percent of Equity Sector Overweight/Underweight 11 Equity Percent of Equity Financials Utilities 7.30 Energy Energy 3.94 Utilities Telecommunication Services Telecommunication Services 3.30 Industrials Financials 2.20 Materials Real Estate 1.58 Real Estate Consumer Staples Consumer Staples Consumer Discretionary Consumer Discretionary Health Care Information Technology % 5% 10% 15% 20% 25% 30% 35% 40% Industrials Materials Franklin Bissett Canadian Dividend Fund S&P/TSX Composite Index -10% -5% 0% 5% 10% Asset Allocation 12 Percent of Total Equity Cash & Cash Equivalents % 20% 40% 60% 80% 100% 120% Investment Philosophy and Process Equity markets can be inefficient, particularly in the short term; price does not necessarily reflect intrinsic value Sustained profitability and effective capital allocation drive intrinsic value growth Achieving our performance objectives requires a high-conviction investment approach 10,11,12. Information is historical and may not reflect current or future portfolio characteristics. Percentage may not equal 100% due to rounding. All holdings are subject to change. franklintempleton.ca 3

4 INVESTABLE UNIVERSE 1 Identify Profitable 2 Assess Valuation Companies Estimated intrinsic 3 High full-cycle profitability Secular earnings and cash flow growth value based on present value of future cash flows Durable business model Appropriate capital structure Effective capital allocation Risk Monitoring, Portfolio Rebalancing and Sell Discipline Determine Portfolio Suitability Portfolio concentration and diversification considerations Strategy requirements (market cap/dividend constraints) FRANKLIN BISSETT PORTFOLIO The above chart is for illustrative and discussion purposes only. The way we implement our main investment strategies and the resulting portfolio holdings may change depending on factors such as market and economic conditions. Investment Team Portfolio Manager Years with Firm Years Experience Les Stelmach, CFA, Senior Vice President, Portfolio Manager Ryan Crowther, CFA, Vice President, Portfolio Manager Glossary Dividend Yield: The annual dividend received on an equity security as a percentage of the price. For a portfolio, the value represents a weighted average of the stocks it holds. It should not be used as an indication of the income received from this portfolio. Market Capitalization: A determination of a company s value, calculated by multiplying the total number of company stock shares outstanding by the price per share. Market capitalization is expressed in millions of. franklintempleton.ca 4

5 Important Legal Information CFA and Chartered Financial Analyst are trademarks owned by CFA Institute. Standard & Poor s, S&P and S&P 500 are registered trademarks of Standard & Poor s Financial Services LLC. S&P does not sponsor, endorse, sell or promote and S&P index-based product. Important data provider notices and terms available at: Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus or fund facts document before investing. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated. Franklin Bissett Investment Management, part of Franklin Templeton Investments Corp. Franklin Templeton Investments Canada is a business name used by Franklin Templeton Investments Corp. Franklin Templeton Investments Canada 200 King Street West, Suite 1500 Toronto, ON M5H 3T4 Tel: Fax: franklintempleton.ca 2018 Franklin Templeton Investments. All rights reserved PPE 06/18

Franklin Bissett Canadian Equity Fund

Franklin Bissett Canadian Equity Fund Product Profile Product Details Fund Assets $3,388,790,133.22 Fund Inception Date 03/01/1983 Base Currency Morningstar Category Distribution Frequency CAD Canadian Equity Annually Series Inception Date

More information

Franklin Bissett Canadian Equity Fund

Franklin Bissett Canadian Equity Fund Product Profile Product Details 1 Fund Assets $3,388,790,133.22 Fund Inception Date 03/01/1983 Base Currency Morningstar Category Distribution Frequency Fund Codes 2 Series Series F Series F ADM Series

More information

Franklin Bissett Canadian Equity Fund

Franklin Bissett Canadian Equity Fund Product Profile Product Details Fund Assets $3,329,185,070.09 Fund Inception Date 03/01/1983 Base Currency Morningstar Category Distribution Frequency Risk Classification 1 Low Low to Medium Medium Medium

More information

Franklin Bissett Small Cap Fund

Franklin Bissett Small Cap Fund Product Profile Product Details 1,2 Fund Assets $504,844,321.76 Fund Inception Date 08/30/1993 Number of Issuers 42 Base Currency CAD Morningstar Category - Distribution Frequency Annually Inception Date

More information

Franklin ActiveQuant U.S. Corporate Class

Franklin ActiveQuant U.S. Corporate Class Franklin ActiveQuant U.S. Corporate Class Product Profile Product Details 1 Fund Assets $87,816,321.02 Fund Inception Date 03/03/2008 Base Currency Morningstar Category Distribution Frequency CAD US Equity

More information

Compounded Returns for Periods Ended December 31, 2017 (%) Management Expense Ratio (as of 6/30/17 incl. HST) 2.28%

Compounded Returns for Periods Ended December 31, 2017 (%) Management Expense Ratio (as of 6/30/17 incl. HST) 2.28% Franklin ActiveQuant Canadian Fund Series A Product Profile Fourth Quarter 2017 FUND CHARACTERISTICS (AS OF 12/31/17) Fund Inception Date 9/20/04 Morningstar Category Canadian Equity Total Net Assets All

More information

Semi-Annual Management Report of Fund Performance

Semi-Annual Management Report of Fund Performance June 30, 2018 Semi-Annual Management Report of Fund Performance This semi-annual management report of fund performance contains financial highlights but does not contain the complete financial statements

More information

Semi-Annual Management Report of Fund Performance

Semi-Annual Management Report of Fund Performance June 30, 2018 Semi-Annual Management Report of Fund Performance This semi-annual management report of fund performance contains financial highlights but does not contain the complete financial statements

More information

Franklin U.S. Rising Dividends Fund

Franklin U.S. Rising Dividends Fund Product Profile Product Details 1,2 Fund Assets $1,033,530,863.57 Fund Inception Date 11/24/2000 Number of Issuers 64 Base Currency Morningstar Category Distribution Frequency CAD US Equity Annually Inception

More information

Franklin Global Growth Corporate Class

Franklin Global Growth Corporate Class Franklin Global Growth Corporate Class Product Profile Product Details 1,2 Fund Assets $31,316,918.86 Fund Inception Date 06/18/2001 Number of Issuers 36 Base Currency Morningstar Category Distribution

More information

Franklin ETF. Annual Management Report of Fund Performance. September 30, 2018

Franklin ETF. Annual Management Report of Fund Performance. September 30, 2018 Franklin ETF Annual Management Report of Fund Performance September 30, 2018 This annual management report of fund performance contains financial highlights but does not contain the complete annual financial

More information

Franklin U.S. Rising Dividends Fund

Franklin U.S. Rising Dividends Fund Product Profile Product Details 1 Fund Assets $1,033,530,863.57 Fund Inception Date 11/24/2000 Number of Issuers 64 Base Currency Morningstar Category Distribution Frequency CAD US Equity Annually Fund

More information

SUN LIFE GLOBAL INVESTMENTS (CANADA) INC.

SUN LIFE GLOBAL INVESTMENTS (CANADA) INC. SUN LIFE GLOBAL INVESTMENTS (CANADA) INC. ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE for the financial year ended December 31, This annual management report of fund performance contains financial highlights

More information

Semi-Annual Management Report of Fund Performance

Semi-Annual Management Report of Fund Performance June 30, 2018 Semi-Annual Management Report of Fund Performance This semi-annual management report of fund performance contains financial highlights but does not contain the complete financial statements

More information

Franklin Bissett Canadian High Dividend Fund AN INCOME STREAM PLUS CAPITAL GROWTH

Franklin Bissett Canadian High Dividend Fund AN INCOME STREAM PLUS CAPITAL GROWTH Franklin Bissett Canadian High Dividend Fund AN INCOME STREAM PLUS CAPITAL GROWTH Franklin Templeton Investments Gain From Our Perspective At Franklin Templeton Investments, we re dedicated to one goal:

More information

Franklin Mutual Global Discovery Fund

Franklin Mutual Global Discovery Fund Product Profile Product Details 1,2 Fund Assets $775,680,191.43 Fund Inception Date 02/17/2003 Number of Issuers 92 Base Currency Morningstar Category Distribution Frequency CAD Global Equity Annually

More information

Compounded Returns for Periods Ended September 30, 2017 (%) Management Expense Ratio (as of 4/30/17 incl. HST) 2.45%

Compounded Returns for Periods Ended September 30, 2017 (%) Management Expense Ratio (as of 4/30/17 incl. HST) 2.45% Templeton Growth Fund, Ltd. Series A Product Profile Third Quarter 2017 FUND CHARACTERISTICS (AS OF 9/30/17) Fund Inception Date 11/29/54 Distribution Frequency Annually Morningstar Category Global Equity

More information

Annual Management Report of Fund Performance

Annual Management Report of Fund Performance December 31, 2017 Annual Management Report of Fund Performance This annual management report of fund performance contains financial highlights but does not contain the complete financial statements of

More information

Compounded Returns for Periods Ended March 31, 2018 (%) Franklin Bissett Canadian Short Term

Compounded Returns for Periods Ended March 31, 2018 (%) Franklin Bissett Canadian Short Term Franklin Bissett Canadian Short Term Bond Fund Series F Product Profile First Quarter 2018 FUND CHARACTERISTICS (AS OF 3/31/18) Fund Inception Date 12/22/03 Distributions Monthly Morningstar Category Canadian

More information

Templeton Growth Fund, Ltd.

Templeton Growth Fund, Ltd. Product Profile Product Details 1,2 Fund Assets $1,505,713,043.43 Fund Inception Date 11/29/1954 Number of Issuers 92 Base Currency Morningstar Category Distribution Frequency Risk Classification 3 Low

More information

IG Franklin Bissett Canadian Equity Class II

IG Franklin Bissett Canadian Equity Class II IG Franklin Bissett Canadian Equity Class II Interim Management Report of Fund Performance FOR THE SIX-MONTH PERIOD ENDED SEPTEMBER 3, 18 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain

More information

Annual Management Report of Fund Performance

Annual Management Report of Fund Performance December 31, 2017 Annual Management Report of Fund Performance This annual management report of fund performance contains financial highlights but does not contain the complete financial statements of

More information

Fidelity Canadian Equity Private Pool of the Fidelity Capital Structure Corp.

Fidelity Canadian Equity Private Pool of the Fidelity Capital Structure Corp. Fidelity Canadian Equity Private Pool of the Fidelity Capital Structure Corp. Annual Management Report of Fund Performance November 3, Caution Regarding Forward-looking Statements Certain portions of this

More information

2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE

2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE MD Family of Funds 2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE DISCLOSURE This annual management report of fund performance contains financial highlights but does not contain the complete annual

More information

iprofile TM Canadian Equity Pool

iprofile TM Canadian Equity Pool Annual Management Report of Fund Performance FOR THE PERIOD ENDED MARCH 31, 2017 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about the Pool, including

More information

CANADIAN GROWTH FUND (GWLIM)

CANADIAN GROWTH FUND (GWLIM) Interim Management Report of Fund Performance For the Six-Month Period Ended September 30, This Interim Management Report of Fund Performance contains financial highlights but does not contain either the

More information

DIVIDEND FUND (GWLIM)

DIVIDEND FUND (GWLIM) Interim Management Report of Fund Performance For the Six-Month Period Ended September 30, This Interim Management Report of Fund Performance contains financial highlights but does not contain either the

More information

RBC CANADIAN DIVIDEND FUND

RBC CANADIAN DIVIDEND FUND CANADIAN EQUITY FUND December 31, 2017 Portfolio Manager RBC Global Asset Management Inc. ( RBC GAM ) The Board of Directors of RBC Global Asset Management Inc. approved this annual management report of

More information

Templeton Global Stock Trust

Templeton Global Stock Trust Product Profile Product Details 1 Fund Assets $479,581,107.95 Fund Inception Date 09/15/1997 Number of Issuers 81 Base Currency CAD Benchmark Benchmark Currency CAD Distribution Frequency Annually Fund

More information

Fidelity Canadian Equity Investment Trust

Fidelity Canadian Equity Investment Trust Fidelity Canadian Equity Investment Trust Annual Management Report of Fund Performance June 30, 2017 Caution Regarding Forward-looking Statements Certain portions of this report, including, but not limited

More information

Franklin Utilities Fund Class A, C

Franklin Utilities Fund Class A, C Utilities Equity Product Profile Product Details 1 Fund Assets $5,788,850,628.56 Fund Inception Date 09/30/1948 Number of Issuers 43 Investment Style Benchmark Lipper Classification Morningstar Category

More information

Fidelity Concentrated Canadian Equity Investment Trust

Fidelity Concentrated Canadian Equity Investment Trust Fidelity Concentrated Canadian Equity Investment Trust Annual Management Report of Fund Performance June 30, 2017 Caution Regarding Forward-looking Statements Certain portions of this report, including,

More information

Franklin Utilities Fund Advisor Class

Franklin Utilities Fund Advisor Class Utilities Equity Product Profile Product Details 1 Fund Assets $5,726,572,437.83 Fund Inception Date 09/30/1948 Number of Issuers 45 NASDAQ Symbol FRUAX Maximum Sales Charge Investment Style Benchmark

More information

DIVIDEND CLASS (GWLIM)

DIVIDEND CLASS (GWLIM) Interim Management Report of Fund Performance For the Six-Month Period Ended September 30, This Interim Management Report of Fund Performance contains financial highlights but does not contain either the

More information

2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE

2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE MD Family of Funds 2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE DISCLOSURE This annual management report of fund performance contains financial highlights but does not contain the complete annual

More information

Semi-Annual Management Report of Fund Performance

Semi-Annual Management Report of Fund Performance Semi-Annual Management Report of Fund Performance For the period ended June 30, 2018 This semi-annual management report of fund performance contains financial highlights, but does not contain the semi-annual

More information

Investors Canadian Equity Income Fund

Investors Canadian Equity Income Fund Annual Management Report of Fund Performance FOR THE PERIOD ENDED MARCH 31, 218 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about the Fund, including

More information

Semi-Annual Management Report of Fund Performance

Semi-Annual Management Report of Fund Performance Semi-Annual Management Report of Fund Performance BMO Private Diversified Yield Portfolio For the period ended June 30, 2017 This semi-annual management report of fund performance contains financial highlights,

More information

RBC CANADIAN DIVIDEND CLASS

RBC CANADIAN DIVIDEND CLASS CANADIAN EQUITY FUND Portfolio Manager RBC Global Asset Management Inc. ( RBC GAM ) The Board of Directors of RBC Corporate Class Inc. approved this interim management report of fund performance on November

More information

CANADIAN VALUE CLASS (FGP)

CANADIAN VALUE CLASS (FGP) Annual Management Report of Fund Performance For the Year Ended March 31, This Annual Management Report of Fund Performance contains financial highlights but does not contain the complete annual financial

More information

Templeton China Fund A (acc) USD

Templeton China Fund A (acc) USD Franklin Templeton Investment Funds Value Equity Fund Manager Report Product Details 1 Fund Assets $581,186,801.52 Fund Inception Date 01/09/1994 Number of Issuers 52 Bloomberg ISIN Base Currency Investment

More information

Mawer Canadian Equity Fund

Mawer Canadian Equity Fund Mawer Canadian Equity Fund Interim Report of Fund Performance Discussion of Fund Performance For the Period Ended June 30, 2018 Investment Objectives and Strategies This interim management report of fund

More information

ANNUAL MANAGEMENT REPORT

ANNUAL MANAGEMENT REPORT 17 ANNUAL MANAGEMENT REPORT of Fund Performance for the year ended December 31, 2017 EQUITY FUNDS This Annual Management Report of Fund Performance contains financial highlights but does not contain the

More information

Templeton Global Smaller Companies Fund

Templeton Global Smaller Companies Fund Templeton Global Smaller Companies Fund Product Profile Product Details 1,2 Fund Assets $252,615,838.38 Fund Inception Date 01/03/1989 Number of Issuers 95 Base Currency Morningstar Category Distribution

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Sun Life BlackRock Canadian Composite Equity Class Series A $11.6889 CAD Net asset value per security (NAVPS) as of August 31, 2018 $-0.0752-0.64% Benchmark S&P/TSX Capped Composite Index Fund category

More information

RBC VISION CANADIAN EQUITY FUND

RBC VISION CANADIAN EQUITY FUND CANADIAN EQUITY FUND December 31, 2017 Portfolio Manager RBC Global Asset Management Inc. ( RBC GAM ) The Board of Directors of RBC Global Asset Management Inc. approved this annual management report of

More information

Templeton International Equity Trust

Templeton International Equity Trust Product Profile First Quarter 2018 FUND CHARACTERISTICS (AS OF 3/31/18) Fund Inception Date 11/1/90 Distribution Frequency Annually Benchmark (CAD) Total Net Assets (CAD) $458 million Number of Issuers

More information

Templeton Global Smaller Companies Fund

Templeton Global Smaller Companies Fund Templeton Global Smaller Companies Fund Product Profile Product Details 1,2 Fund Assets $298,289,191.09 Fund Inception Date 01/03/1989 Number of Issuers 96 Base Currency Morningstar Category Distribution

More information

Templeton Emerging Markets Fund

Templeton Emerging Markets Fund Product Profile Product Details 1 Fund Assets $267,096,563.10 Fund Inception Date 09/20/1991 Number of Issuers 82 Base Currency CAD Benchmark MSCI Emerging Markets Index Distribution Frequency Annually

More information

Investors Canadian Equity Class

Investors Canadian Equity Class Annual Management Report of Fund Performance FOR THE PERIOD ENDED MARCH 31, 2018 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about the Fund, including

More information

Investors Canadian Equity Fund

Investors Canadian Equity Fund Annual Management Report of Fund Performance FOR THE PERIOD ENDED MARCH 31, 18 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about the Fund, including

More information

FIDELITY CANADIAN DISCIPLINED EQUITY FUND

FIDELITY CANADIAN DISCIPLINED EQUITY FUND FIDELITY CANADIAN DISCIPLINED EQUITY FUND QUARTERLY FUND REVIEW June 30, 2018 Fund overview Investment objective The Fund aims to achieve long term capital growth by investing primarily in Canadian equity

More information

Franklin Bissett Dividend Income Fund

Franklin Bissett Dividend Income Fund Franklin Bissett Dividend Income Fund September 30, 2018 Portfolio Holdings The following portfolio data for the Franklin Templeton funds is made available to the public under our Portfolio Holdings Release

More information

PHILLIPS, HAGER & NORTH DIVIDEND INCOME FUND

PHILLIPS, HAGER & NORTH DIVIDEND INCOME FUND CANADIAN EQUITY FUND PHILLIPS, HAGER & NORTH DIVIDEND INCOME FUND December 31, 2017 Portfolio Manager RBC Global Asset Management Inc. ( RBC GAM ) The Board of Directors of RBC Global Asset Management

More information

BMO S&P/TSX Capped Composite Index ETF (ZCN) (the ETF )

BMO S&P/TSX Capped Composite Index ETF (ZCN) (the ETF ) ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE BMO S&P/TSX Capped Composite Index ETF (ZCN) (the ETF ) For the 12-month period ended December 31, 2017 (the Period ) Manager: BMO Asset Management Inc. (the

More information

IG Mackenzie Canadian Equity Growth Fund

IG Mackenzie Canadian Equity Growth Fund IG Mackenzie Canadian Equity Growth Fund Annual Management Report of Fund Performance FOR THE PERIOD ENDED MARCH 31, 218 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking

More information

iprofile TM Canadian Equity Class

iprofile TM Canadian Equity Class Interim Management Report of Fund Performance FOR THE SIX-MONTH PERIOD ENDED SEPTEMBER 30, 2018 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about the

More information

TD Waterhouse Premier Managed Portfolios Program

TD Waterhouse Premier Managed Portfolios Program TD Waterhouse Premier Managed Portfolios Program June 30, 2018 Franklin Bissett Investment Management Review Franklin Bissett Investment Management, part of Franklin Templeton Investments Canada. Source

More information

INTERIM MANAGEMENT REPORT OF FUND PERFORMANCE. CWB Onyx Canadian Equity Fund

INTERIM MANAGEMENT REPORT OF FUND PERFORMANCE. CWB Onyx Canadian Equity Fund INTERIM MANAGEMENT REPORT OF FUND PERFORMANCE For the period ended June 30, 2018 DISCLOSURE This interim management report of fund performance contains financial highlights but does not contain either

More information

Franklin Select U.S. Equity Fund. Advisor Class

Franklin Select U.S. Equity Fund. Advisor Class Franklin Select U.S. Equity Fund Advisor Class Blend Equity Product Profile Product Details 1 Fund Assets $91,842,807.55 Fund Inception Date 12/13/2007 Number of Issuers 49 NASDAQ Symbol FCEZX Maximum

More information

2014 Annual Management Report of Fund Performance

2014 Annual Management Report of Fund Performance (the Fund ) For the 12-month period ended December 31, 2014 (the period ) Manager: BMO Investments Inc. (the Manager or BMOII ) Portfolio Manager: BMO Asset Management Inc. (the portfolio manager ) 2014

More information

BMO Monthly High Income Fund II (the Fund )

BMO Monthly High Income Fund II (the Fund ) (the Fund ) For the period ended June 30, 2014 Manager: BMO Investments Inc. (the Manager or BMOII ) Portfolio Manager: Guardian Capital LP (the portfolio manager ) 2014 Semi-Annual Management Report of

More information

MARQUEST CANADIAN EQUITY INCOME FUND

MARQUEST CANADIAN EQUITY INCOME FUND MARQUEST CANADIAN EQUITY INCOME FUND ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE Year ended December 31, 2016 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE 2016 A NOTE ON FORWARD-LOOKING STATEMENTS This

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Sun Life MFS Dividend Income Fund Series A $13.3108 Net asset value per security (NAVPS) as of December 22, 2017 $-0.0115-0.09% Benchmark S&P/TSX Capped Composite Index Fund category Canadian Dividend

More information

Templeton China World Fund Advisor Class

Templeton China World Fund Advisor Class Templeton China World Fund Advisor Class Equity Product Profile Product Details 1 Fund Assets $290,551,367.47 Fund Inception Date 09/08/1993 Number of Issuers 51 NASDAQ Symbol TACWX Maximum Sales Charge

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Sun Life MFS Canadian Equity Growth Fund Series A $48.7284 Net asset value per security (NAVPS) as of February 12, 2018 $0.6295 1.31% Benchmark Blended benchmark Fund category Canadian Focused Equity Additional

More information

Investors Canadian Large Cap Value Fund

Investors Canadian Large Cap Value Fund Investors Canadian Large Cap Value Fund Interim Management Report of Fund Performance FOR THE SIX-MONTH PERIOD ENDED SEPTEMBER 3, 217 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain

More information

Scotia Canadian Blue Chip Fund

Scotia Canadian Blue Chip Fund Scotia Canadian Blue Chip Fund Annual Management Report of Fund Performance For the period ended December 31, 2017 This annual management report of fund performance contains financial highlights but does

More information

Additional series available. Morningstar TM Rating. Funds in category 411. Equity style Market cap % Micro 2.0. Canada 56.9 as of February 28, 2018

Additional series available. Morningstar TM Rating. Funds in category 411. Equity style Market cap % Micro 2.0. Canada 56.9 as of February 28, 2018 Sun Life Dynamic Equity Income Fund Investment objective Series A $10.6262 Net asset value per security (NAVPS) as of June 06, 2018 $0.0277 0.26% Benchmark S&P/TSX Composite Index Fund category Canadian

More information

2016 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE

2016 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE MD Family of Funds 2016 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE DISCLOSURE This annual management report of fund performance contains financial highlights but does not contain the complete annual

More information

Imperial Pools. Annual Management Report of Fund Performance. December 31, Imperial Canadian Dividend Income Pool

Imperial Pools. Annual Management Report of Fund Performance. December 31, Imperial Canadian Dividend Income Pool Imperial Pools Annual Management Report of Fund Performance December 31, 2006 Imperial Canadian Dividend Income Pool This annual management report of fund performance contains financial highlights but

More information

Fidelity True North Fund

Fidelity True North Fund Fidelity True North Fund Annual Management Report of Fund Performance June 3, 217 Caution Regarding Forward-looking Statements Certain portions of this report, including, but not limited to, Results of

More information

Investors Summa SRI Fund

Investors Summa SRI Fund Annual Management Report of Fund Performance FOR THE PERIOD ENDED MARCH 31, 218 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about the Fund, including

More information

Templeton Latin America Fund A (Ydis) USD

Templeton Latin America Fund A (Ydis) USD Templeton Latin America Fund A (Ydis) USD Franklin Templeton Investment Funds Fund Manager Report Blend Equity Product Details 1 Fund Assets $1,076,825,961.83 Fund Inception Date 28/02/1991 Number of Issuers

More information

Investors Dividend Class

Investors Dividend Class Annual Management Report of Fund Performance FOR THE PERIOD ENDED MARCH 31, 218 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about the Fund, including

More information

Fidelity Canadian Focused Equity Investment Trust

Fidelity Canadian Focused Equity Investment Trust Fidelity Canadian Focused Equity Investment Trust Semi-Annual Management Report of Fund Performance September 30, 2018 Caution Regarding Forward-looking Statements Certain portions of this report, including,

More information

Investors Canadian Growth Class

Investors Canadian Growth Class Interim Management Report of Fund Performance FOR THE SIX-MONTH PERIOD ENDED SEPTEMBER 3, 217 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about the Fund,

More information

Scotia Canadian Index Fund

Scotia Canadian Index Fund Scotia Canadian Index Fund Annual Management Report of Fund Performance For the period ended December 31, 2017 This annual management report of fund performance contains financial highlights but does not

More information

TD S&P/TSX Capped Composite Index ETF. TD EXCHANGE-TRADED FUNDS Annual Management Report of Fund Performance

TD S&P/TSX Capped Composite Index ETF. TD EXCHANGE-TRADED FUNDS Annual Management Report of Fund Performance TD Asset Management TD S&P/TSX Capped Composite Index ETF 535252 (03/18) TD EXCHANGE-TRADED FUNDS Annual Management Report of Fund Performance for the period ended December 31, 2017 This Annual Management

More information

IG Mackenzie Dividend Growth Fund

IG Mackenzie Dividend Growth Fund Annual Management Report of Fund Performance FOR THE PERIOD ENDED MARCH 31, 18 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about the Fund, including

More information

Templeton Frontier Markets Fund A (acc) USD

Templeton Frontier Markets Fund A (acc) USD Templeton Frontier Markets Fund A (acc) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $667,573,342.18 Fund Inception Date 14/10/2008 Number of Issuers

More information

Investors Mutual of Canada

Investors Mutual of Canada Annual Management Report of Fund Performance FOR THE PERIOD ENDED MARCH 31, 18 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about the Fund, including

More information

BMO Canadian Diversified Monthly Income Fund (the Fund )

BMO Canadian Diversified Monthly Income Fund (the Fund ) (the Fund ) For the 12-month period ended December 31, 2014 (the period ) Manager: BMO Investments Inc. (the Manager or BMOII ) Portfolio Managers: Guardian Capital LP and BMO Asset Management Inc. (each,

More information

Semi-Annual Management Report of Fund Performance

Semi-Annual Management Report of Fund Performance Semi-Annual Management Report of Fund Performance BMO Private Canadian Core Equity Portfolio (formerly, BMO Private Canadian Conservative Equity Portfolio) For the period ended June 30, 2018 This semi-annual

More information

TD S&P/TSX Capped Composite Index ETF. TD EXCHANGE-TRADED FUNDS Semi-Annual Management Report of Fund Performance

TD S&P/TSX Capped Composite Index ETF. TD EXCHANGE-TRADED FUNDS Semi-Annual Management Report of Fund Performance TD Asset Management TD S&P/TSX Capped Composite Index ETF 535228 (08/17) TD EXCHANGE-TRADED FUNDS Semi-Annual Management Report of Fund Performance for the period ended June 30, 2017 This Interim Management

More information

Investors Summa SRI Class

Investors Summa SRI Class Annual Management Report of Fund Performance FOR THE PERIOD ENDED MARCH 31, 2018 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about the Fund, including

More information

Fidelity Dividend Investment Trust

Fidelity Dividend Investment Trust Fidelity Dividend Investment Trust Annual Management Report of Fund Performance June 30, 2017 Caution Regarding Forward-looking Statements Certain portions of this report, including, but not limited to,

More information

2014 Annual Management Report of Fund Performance

2014 Annual Management Report of Fund Performance (the Fund ) For the 12-month period ended December 31, (the period ) Manager: BMO Investments Inc. (the Manager or BMOII ) Portfolio Manager: Guardian Capital LP (the portfolio manager ) Annual Management

More information

Renaissance Dividend Fund

Renaissance Dividend Fund M 16 E Annual Management Report of Fund Performance for the financial year ended August 31, 2009 All figures are reported in Canadian dollars unless otherwise noted. This annual management report of fund

More information

Annual Management Report of Fund Performance

Annual Management Report of Fund Performance Annual Management Report of Fund Performance (formerly, BMO Private Canadian Conservative Equity Portfolio) For the period ended December 31, 2017 This annual management report of fund performance contains

More information

CANADIAN LOW VOLATILITY CLASS (LONDON CAPITAL)

CANADIAN LOW VOLATILITY CLASS (LONDON CAPITAL) Annual Management Report of Fund Performance For the Year Ended March 31, This Annual Management Report of Fund Performance contains financial highlights but does not contain the complete annual financial

More information

Harmony Canadian Equity Pool

Harmony Canadian Equity Pool INTERIM MANAGEMENT REPORT OF FUND PERFORMANCE Harmony Canadian Equity Pool MARCH 31, Management Discussion of Fund Performance This management discussion of fund performance represents the portfolio management

More information

MANAGEMENT REPORT OF FUND PERFORMANCE NATIXIS CANADIAN DIVIDEND CLASS (FORMERLY NEXGEN CANADIAN DIVIDEND TAX MANAGED FUND )

MANAGEMENT REPORT OF FUND PERFORMANCE NATIXIS CANADIAN DIVIDEND CLASS (FORMERLY NEXGEN CANADIAN DIVIDEND TAX MANAGED FUND ) This annual management report of fund performance contains financial highlights, but does not contain either the interim financial report or annual financial statements of the investment fund. You can

More information

Franklin European Small-Mid Cap Growth Fund A (acc) EUR

Franklin European Small-Mid Cap Growth Fund A (acc) EUR Franklin European Small-Mid Cap Growth Fund A (acc) EUR Franklin Templeton Investment Funds Fund Manager Report Growth Equity Product Details 1 Fund Assets 465,083,303.95 Fund Inception Date 03/12/2001

More information

BMO Growth & Income Fund (the Fund )

BMO Growth & Income Fund (the Fund ) (the Fund ) For the period ended June 30, 2014 Manager: BMO Investments Inc. (the Manager or BMOII ) Portfolio Manager: Guardian Capital LP (the portfolio manager ) 2014 Semi-Annual Management Report of

More information

Semi-Annual Management Report of Fund Performance

Semi-Annual Management Report of Fund Performance Semi-Annual Management Report of Fund Performance BMO Private Canadian Conservative Equity Portfolio (formerly, BMO Harris Canadian Conservative Equity Portfolio) For the period ended June 30, 2015 This

More information

1832 AM Canadian Growth LP

1832 AM Canadian Growth LP 1832 AM Canadian Growth LP Annual Management Report of Fund Performance For the period ended December 31, 2017 This annual management report of fund performance contains financial highlights but does not

More information

Templeton Global Smaller Companies Fund

Templeton Global Smaller Companies Fund Templeton Global Smaller Companies Fund Product Profile Product Details 1 Fund Assets $313,983,910.78 Fund Inception Date 01/03/1989 Number of Issuers 93 Base Currency Morningstar Category Distribution

More information

Scotia Canadian Dividend Fund

Scotia Canadian Dividend Fund Scotia Canadian Dividend Fund Annual Management Report of Fund Performance For the period ended December 31, 11 AM 85 E This annual management report of fund performance contains financial highlights,

More information

2018 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE

2018 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE DECEMBER 31, 2018 2018 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE This annual management report of fund performance contains financial highlights but does not contain either semi-annual or annual financial

More information