Distinction Balanced Portfolio - Series A

Quick Facts

NAVPS (2/6/2012) $13.35

2010 Total Distributions:

Income ($) -
Dividends ($) 0.03
Capital gains ($) -
Return of Capital ($) -
Total distributions ($) 0.03

Distribution Frequency: Annually


MER: 06/30/2011 2.91%*

Fund Numbers:

$Cdn Front Back Low Series F
Series A
850 851 650 -
 

Key reasons to invest

  • Access to leading investment managers from across Canada and around the world
  • Diversification by sector, country and asset class
  • Automatic rebalancing

Investment Approach

The Portfolio will invest primarily in a diversified portfolio of other mutual funds with an emphasis toward Canadian balanced, Canadian equity growth and specialty growth funds. The portfolio will also invest in international equity funds

 

Portfolio Advisor

Industrial Alliance Investment Management Inc.

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Portfolio Manager

Inception Date: 10/1/2002

Net Assets: $215,140,241

Compound Annual Returns (%) as at 12/31/2011

1 month3 months6 months1 year3 years5 years10 yearsInception
0.02.7-3.8-2.77.1-0.5-3.9

Calendar Year Returns (%)

2010200920082007200620052004200320022001
7.717.3-19.1-2.010.68.47.113.8 - -

Asset Mix

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Top Ten Holdings

IA Clarington Bond Fund, Series I20.13%
IA Clarington Tactical Bond Fund, Series I10.24%
IA Clarington Strategic Equity Income Fund, Series I9.65%
IA Clarington Canadian Growth Fund, Series I9.44%
IA Clarington Global Dividend Fund, Series I6.96%
IA Clarington Global Equity Fund, Series I6.65%
Dynamic High Yield Bond Fund, Series O5.37%
IA Clarington Canadian Conservative Equity Fund, Series I5.27%
IA Clarington Short-Term Bond Fund, Series I5.14%
IA Clarington Canadian Small Cap Fund, Series I5.12%
Fidelity True North® Fund, Series O4.82%
Dynamic Global Dividend Value Fund, Series O4.81%
Mackenzie Cundill Value Fund, Series O4.43%
Cash and Cash Equivalents2.26%
Portfolio information above as at: 12/31/2011 12:00:00 AM
*IA Clarington Investments Inc., manager of the Distinction Balanced Portfolio - Series A (the "Fund"), currently waives some of its management fees or absorbs some expenses that would normally be charged to the Fund. This is done at the manager’s discretion, and may continue for an indeterminate period of time but may also be terminated at any time. The management expense ratio ("MER") for this series of the Fund published above is calculated after waivers and absorptions have been taken into account, using information available from the interim period ending 06/30/2011. The actual MER of the this series of the Fund before waivers and or absorptions is 2.92%
Important information and disclaimer