Investment Objective
To generate high dividend income while focusing on capital preservation. This fund invests directly, or through investments in securities of other mutual funds, in a portfolio mainly composed of preferred shares of Canadian companies and other income generating Canadian equities. It is expected that investments in foreign securities will not exceed approximately 30% of the fund's net asset value.
Fund Details
Investment horizon
At least 3 years
Fund volatility
Medium
Minimum Initial Investment:
$500
Subsequent Investment:
$50
Systematic Investment:
$25
Distribution Frequency:
Monthly
Assets Under Management ($M):
$37.2
Price per Unit:
$10.41
Inception Date:
October 12, 2012
Value of $10,000 over 10 years:
$18,617
Benchmark Index:
S&P/TSX Preferred
Management Fee:
1.25%
MER:
1.56%
Portfolio Manager:
National Bank Investments Inc.
Sub-Advisor:
Fiera Capital Corporation
Management Fee Reduction Plan¹
For High Net Worth investors
Amount Applicable
| Level | to the level* | Reduction |
|---|---|---|
| 1 | First $250,000 | 0.025% |
| 2 | Next $250,000 | 0.050% |
| 3 | In excess of $500,000 | 0.100% |
¹ Subject to satisfying one of the Plan admissibility criteria.
* The levels apply according to the market value of the assets.
Available Fund Codes:
| Advisor Series | |
|---|---|
| Initial Sales Charge | NBC410 |
| Deferred Sales Charge | NBC510 |
| Low Sales Charge | NBC610 |
| F Series | NBC710 |
| O Series | NBC310 |
Portfolio Asset Mix (% of Net Assets)
| Canadian Preferred Shares | 82.70% |
| Cdn Corp Bonds - Other | 6.99% |
| Cdn Corp Bonds - Invest Grade | 4.20% |
| Canadian high yield bonds | 2.64% |
| Cash and Equivalents | 2.39% |
| Foreign Preferred Shares | 1.08% |
| Sector Allocation | % |
|---|---|
| Financial Services | 46.96 |
| Energy | 24.87 |
| Utilities | 16.68 |
| Telecommunications | 10.46 |
| Industrial Goods & Services | 0.44 |
| Real Estate | 0.35 |
| Technology | 0.24 |
| Credit Rating | % |
|---|---|
| P2 | 60.88 |
| P3 | 32.33 |
| P4 | 6.89 |
| Gross Current Yield (%)‡ | 4.67 |
| Top Holdings | % |
|---|---|
| Royal Bank of Canada 6.70% 31-Dec-2099 | 2.36 |
| Enbridge Inc - Pfd Sr 13 | 2.31 |
| Enbridge Inc - Pfd Sr 15 | 2.14 |
| Brookfield Renwbl Pwr Prf Eqty Inc - Pfd Cl A Sr 1 | 2.06 |
| Power Financial Corp - Pfd Sr Z | 1.96 |
| Toronto-Dominion Bank 5.75% PERP | 1.92 |
| Enbridge Inc - Pfd Cl A Sr 3 | 1.90 |
| Pembina Pipeline Corp - Pfd Cl A Sr 9 | 1.82 |
| TC Energy Corp - Pfd Sr 9 | 1.78 |
| Royal Bank of Canada - Pfd Sr BF | 1.75 |
| Total of Top Holdings of the Fund (% of Net Assets): |
20.00 |
| Total Number of Securities Held: | 147 |
Calendar Returns (%)
| YTD | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 |
|---|---|---|---|---|---|---|
| 13.95 | 28.07 | 7.20 | -19.72 | 23.72 | 5.79 | 1.36 |
Annualized Returns (%)
| 1 M | 3 M | 6 M | 1 Y | 3 Y | 5 Y | 10 Y | Incp. |
|---|---|---|---|---|---|---|---|
| 2.15 | 2.99 | 15.55 | 19.77 | 15.32 | 11.31 | 6.41 | 3.81 |
‡Annual income paid by a bond or a stock, expressed as a percentage of its current market price. It does not include any capital gains or losses that may be realized upon maturity.