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Fund Portfolio

Prices & Performance > Fund Profile SCGI

* Because the fund is new

Market Price

$11.58

As at 12/05/2019 15:35

Ticker

SCGI

NAV ($)

$11.566

As at 2019/12/06

NAV Change %

0.269%

2019/12/06

AUM

N.A. *

 

Monthly Distributions

$0.0417

Per Unit

MER

1.34%

 

Management Fee

0.90%

Risk Meter **

Low

Med

High

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* Excludes cash and cash equivalents.

*Because this is a new fund, the risk rating is only an estimate by Starlight Capital. Generally, we determine the risk rating for each fund in accordance with a standardized risk classification methodology in NI 81-102 that is based on the fund’s historical volatility as measured by the 10-year standard deviation of the returns of the fund. Standard deviation is a common statistic used to measure the volatility and risk of an investment. Funds with higher standard deviations are generally classified as being more risky. Just as historical performance may not be indicative of future returns, a fund’s historical volatility may not be indicative of its future volatility. You should be aware that other types of risk, both measurable and non-measurable, also exist.

Commissions, trailing commissions, management fees and expenses all may be associated with investment funds. The indicated rates of return are the historical annual compound total returns net of fees (except for figures of one year or less, which are simple total returns) including changes in security value and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder that would have reduced returns. Investment funds are not guaranteed, their values change frequently, and past performance may not be repeated. Please read the prospectus before investing. Investors should consult with their advisors prior to investing.

The information contained herein is not an offer to sell nor a solicitation to buy any security. Such an offer can only be made by prospectus or other applicable offering document.

There are ongoing fees and expenses associated with owning units of an investment fund. An investment fund must prepare disclosure documents that contain key information about the fund. You can find more detailed information about the fund in these documents.

1Active share measures the percentage a portfolio’s holdings that are different from those in its benchmark. Active share shows how the manager is actively exploiting opportunities that are not reflected in the index. The benchmarks used for analysis for the Starlight Global Infrastructure Fund is the S&P Global Infrastructure Index (CAD) and for the Starlight Global Real Estate Fund is the FTSE EPRA/NAREIT Developed Total Return Index (CAD).

© Copyright 2019 Starlight Investments Capital LP. All Rights Reserved.

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