Total net assets ($CAD):
$3.29 million

Asset allocation

Geographic allocation

Sector allocation

The top 2 holdings make up 99.76% of the Fund.
Top holdings Sector allocation (%)
Sun Life MFS International Opport Fund Series A Mutual Fund 69.10%
Signature Corporate Bond Fund Class I Fixed Income 30.66%
Asset allocation

International Equity 69.49%

Foreign Corporate Bonds 16.97%

Canadian Corporate Bonds 9.08%

Canadian Equity 1.57%

Cash and Equivalents 1.44%

US Equity 0.51%

Canadian Government Bonds 0.44%

Mortgages 0.17%

Canadian Bonds - Other 0.17%

Other 0.16%

Geographic allocation

Multi-National 69.10%

United States 18.18%

Canada 11.69%

United Kingdom 0.37%

Other 0.30%

Bermuda 0.24%

Cayman Islands 0.05%

Europe 0.03%

Luxembourg 0.02%

Netherlands 0.02%

Sector allocation

Mutual Fund 69.10%

Fixed Income 26.98%

Cash and Cash Equivalent 1.44%

Financial Services 1.24%

Energy 0.32%

Utilities 0.30%

Other 0.30%

Telecommunications 0.15%

Real Estate 0.13%

Technology 0.04%