As of November 30, 2024
This portfolio seeks to provide a combination of income and moderate long-term growth 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. This portfolio includes exposure to clean technology investments with 5% of the portfolio.
The minimum initial investment amount for this portfolio is $1,000.
Asset Mix
30% | Mortgages |
17% | Government Bonds |
12% | Private Real Estate |
8% | Corporate Bonds |
6% | Private Equity |
5% | CleanTech |
4% | Fixed Income |
4% | International Equities |
4% | Private Mortgage |
4% | Private Debt |
3% | High-Yield Bonds |
3% | Canadian Equities |
2% | US Equities |
1% | Real Estate |
1% | Money Market |
Investments
Features
Features of this portfolio include:
Benefits
MER: 0.85%
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.