Total net assets ($CAD):
$158.08 million

The top 15 holdings make up 41.50% of the Fund.
US Equity
Cash and Equivalents
International Equity
Income Trust Units
Other
United States
Other
Ireland
Bermuda
United Kingdom
Canada
Netherlands
Technology
Financial Services
Healthcare
Consumer Services
Industrial Goods
Industrial Services
Consumer Goods
Cash and Cash Equivalent
Other
Utilities
Top holdings Sector allocation (%)
Microsoft Corp Computer Electronics 5.76%
Apple Inc Diversified Technology 4.98%
Amazon.com Inc Retail 4.49%
Alphabet Inc Cl A Information Technology 2.87%
MasterCard Inc Diversified Financial Services 2.80%
Zoetis Inc Drugs 2.62%
NextEra Energy Inc Electric Utilities 2.38%
PayPal Holdings Inc Professional Services 2.35%
Facebook Inc Cl A Information Technology 2.23%
S&P Global Inc Diversified Financial Services 2.07%
Mondelez International Inc Food, Beverage and Tobacco 1.92%
UnitedHealth Group Inc Healthcare Services 1.86%
Thermo Fisher Scientific Inc Healthcare Equipment 1.76%
Sun Communities Inc Real Estate 1.72%
Norfolk Southern Corp Transportation 1.69%
Asset allocation

US Equity 90.39%

Cash and Equivalents 5.11%

International Equity 3.50%

Income Trust Units 1.02%

Other -0.02%

Geographic allocation

United States 94.47%

Other 1.30%

Ireland 0.97%

Bermuda 0.93%

United Kingdom 0.91%

Canada 0.73%

Netherlands 0.69%

Sector allocation

Technology 26.39%

Financial Services 14.63%

Healthcare 14.00%

Consumer Services 9.60%

Industrial Goods 8.77%

Industrial Services 7.37%

Consumer Goods 7.02%

Cash and Cash Equivalent 5.11%

Other 4.73%

Utilities 2.38%