Scotia Selected Growth Portfolio - Series T
Right for you if:
You want a core balanced holding, with a bias towards capital appreciation, which is well diversified by asset class, investment style, geography and market capitalization.
You're investing for at least five years and can accept low to medium risk.
To achieve a balance of current income and long-term capital appreciation, with a bias towards capital appreciation. It invests primarily in a diversified mix of equity and income mutual funds managed by us and by other mutual fund managers.
Rate of Return
|Series Availability||Series A, Series F, Advisor Series, Series T
|Fund Category||Global Equity Balanced|
25% FTSE TMX Canada Universe Bond Index, 38% S&P/TSX Composite Index, 37% MSCI World Index
|Portfolio Advisor||1832 Asset Management L.P.|
|Eligible for Registered Plans?||Yes|
|Management Expense Ratio||For details on the fund's fees, please refer to either the Fund Profile or the Fund Facts.|
|Minimum Initial Investment||500
|Minimum Subsequent Investment||25|
Distributions, if any, for all ScotiaFunds are made by the last business day of each calendar year.
The figures presented here list the total distributions per unit during a calendar year. Errors and omissions excepted.