Total net assets ($CAD):
$1.77 billion

The top 1 holdings make up 99.08% of the Fund.
US Equity
Foreign Corporate Bonds
International Equity
Cash and Equivalents
Foreign Government Bonds
Canadian Equity
Income Trust Units
Canadian Corporate Bonds
United States
United Kingdom
Cayman Islands
Fixed Income
Cash and Cash Equivalent
Financial Services
Consumer Goods
Consumer Services
Industrial Goods
Real Estate
Underlying fund allocations Sector allocation (%)
Signature Global Income & Growth Fund Class I Mutual Fund 99.08%
Top holdings Sector allocation (%)
SPDR Gold Trust ETF (GLD) Exchange Traded Fund 5.97%
Microsoft Corp Computer Electronics 2.79%
Alibaba Group Holding Ltd - ADR Information Technology 1.92%
Apple Inc Diversified Technology 1.83% Inc Retail 1.73%
United States Treasury 2.00% 15-Feb-2050 Fixed Income 1.54%
Advanced Micro Devices Inc Computer Electronics 1.51%
Sony Corp Consumer Durables 1.48%
United States Treasury 0.25% 31-Jul-2025 Fixed Income 1.17%
ING Groep NV Banking 1.01%
Citigroup Inc Banking 1.00%
iShares iBoxx $ Invest Grade Corp Bond ETF (LQD) Fixed Income 0.98%
Prologis Inc Real Estate Support Services 0.94%
Thermo Fisher Scientific Inc Healthcare Equipment 0.88%
Brookfield Asset Management Inc Cl A Diversified Financial Services 0.83%
Asset allocation

US Equity 32.76%

Foreign Corporate Bonds 18.56%

International Equity 18.48%

Cash and Equivalents 16.09%

Commodities 5.97%

Foreign Government Bonds 3.67%

Canadian Equity 2.70%

Income Trust Units 0.82%

Canadian Corporate Bonds 0.53%

Other 0.42%

Geographic allocation

United States 70.02%

Other 10.41%

Canada 4.68%

United Kingdom 3.71%

Cayman Islands 2.90%

Japan 2.37%

Switzerland 2.12%

Netherlands 1.65%

France 1.42%

Ireland 0.72%

Sector allocation

Fixed Income 23.22%

Cash and Cash Equivalent 16.08%

Other 14.75%

Technology 11.86%

Healthcare 8.63%

Financial Services 8.27%

Consumer Goods 7.09%

Consumer Services 4.08%

Industrial Goods 3.56%

Real Estate 2.46%