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Growth Impact Portfolio

As of September 30, 2024

This portfolio seeks to provide long-term growth with a potential for a moderate level of income by investing in funds with Impact-oriented investment strategies with exposure to global publicly traded fixed income and equity securities. Impact investing aims to generate a measurable positive social or environmental impact alongside financial returns. This portfolio includes the CI First Asset MSCI World ESG Impact ETF (CAD Hedged) which is managed by CI Global Asset Management a subsidiary of CI Financial Corp. and an affiliate of CI Direct Investing.

The minimum initial investment amount for this portfolio is $50,000.

Asset Mix

37% US Equities
33% International Equities
14% Fixed Income
10% CleanTech
2% Government Bonds
2% Cash and Cash Equivalents
2% Corporate Bonds
 
 

Features

Features of this portfolio include:

  • Active management
  • Impact
  • SRI
  • Growth
  • Public assets
  • Diversification
  • High liquidity
 
 

Benefits

  • Appropriate for clients with long-term time horizons and moderate to moderately aggressive risk profiles
  • Opportunity for growth
  • Alignment of values with investments through Impact strategy
  • Liquidity when you need your money 
 
 

Risks

  • Capital risk
  • Concentration risk
  • Interest rate risk
  • Market risk
  • Volatility

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: 0.48%

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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