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Aggressive Private Portfolio

As of November 30, 2024

This portfolio seeks to provide long-term growth with a potential for a moderate level of income by investing in actively managed funds with exposure to a mix of privately held and publicly traded global fixed income, equity securities, and real estate. The active strategy focuses on cash flow income derived from a mix of public, private, and alternative investments to improve risk-adjusted returns and reduce overall volatility. 

The minimum initial investment amount for this portfolio is $1,000.

Asset Mix

30% US Equities
21% Real Estate
10% International Equities
9% Private Equity
7% Mortgages
7% Private Debt
6% Fixed Income
5% High-Yield Bonds
4% Canadian Equities
 
 

Features

Features of this portfolio include:

  • Active management
  • Growth
  • Private assets
  • Public assets
  • Diversification
 
 

Benefits

  • Appropriate for clients with long-term time horizons and moderate to moderately aggressive risk profiles
  • Opportunity for growth
  • Exposure to active strategies and private assets
  • Reduced volatility compared to portfolios that only invest in public assets
  • Diversification with a mix of different types of investments
 
 

Risks

  • Capital risk
  • Financing risk
  • Interest rate risk
  • Liquidity risk
  • Leverage risk

These are just some of the risks of investing. You can learn more about these risks, and other risks of investing, in our Help Centre here.

 
 

MER: 1.20%

MER stands for Management Expense Ratio. Like every other investment, you pay built-in MER fees to the company providing the investment, not to CI Direct Investing. You won’t see this money deducted from your account, but we thought you should know about it.

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