WebDynamic Total Return Bond Fund - Series F Year-by-year returns This chart shows how the Series F units of the Fund have performed in each of the past 10 calendar years. … WebWho is this fund for? Investors who: want to invest in fixed-income securities but are seeking a higher potential total return than available on money market instruments or short-term bonds, but do not require regular income from their investment. are seeking the benefits of diversification through a core bond holding within an overall balanced ...
DynamicEdge Balanced Class Portfolio - Series F
Web8. Scotia Canadian Growth Fund, Series I 3.5% 9. Dynamic High Yield Bond Fund, Series O 3.1% 10. Dynamic Dividend Advantage Fund, Series O 2.3% Total percentage of top 10 investments: 97.5% Total number of investments: 13 Investment mix (March 31, 2024) 62.1% Fixed Income Funds 24.9% Foreign Equity Funds 12.9% Canadian Equity Funds … WebDynamic Total Return Bond Fund2 0.65% 0.600% 0.575% 0.525% 2569 – – 2626 2559 ... • Same features as Series F, with fixed monthly distributions • Customizable cash flow … daiso malaysia outlet
Dynamic Total Return Bond Class - Series F
WebShare Class Information. Class Inception 10/24/95. Net Asset Value (NAV) As of 04/10/23 $11.68. Most Recent NAV Change As of 04/10/23 $0.08 0.68%. CUSIP 55273F878. Gross Expense Ratio. Gross Expense Ratio: The Gross Expense Ratio is the fund's total operating expense ratio from the fund's most recent prospectus. 0.54%. Web1. Dynamic Canadian Bond Fund, Series O 21.8% 2. Scotia Canadian Income Fund, Series I 18.3% 3. Dynamic Total Return Bond Fund, Series O 17.9% 4. Scotia Global Dividend Fund, Series I 13.1% 5. Scotia Wealth Canadian Corporate Bond Pool, Series I 10.9% 6. Scotia Global Equity Fund, Series I 4.7% 7. Scotia Canadian Dividend Fund, … WebDynamic Total Return Bond Fund, Series "O" 22.4% 2. Dynamic Canadian Bond Fund, Series "O" 14.7% 3. Dynamic Global Equity Fund, Series "O" 10.5% 4. Dynamic Global Equity Income Fund, Series "O" 8.9% ... This is the total of the Series F shares of the Fund's management fees, fixed administration fees and fund costs. 1832 biostatistics oxford