Scotia Selected Income Portfolio - Series A
Right for you if:
You want a core balanced holding, with a significant bias towards income, which is diversified by asset class, investment style, geography and market capitalization
You are investing for the medium to long term and can accept low to medium risk
The portfolio’s objective is to achieve a combination of a steady flow of income with the potential for capital gains. The Portfolio invests primarily in a diversified mix of equity and income mutual funds managed by us or by other mutual fund managers.
Performance (Series A)
Rates of return (Series A)
Distributions (Series A)
|Series Availability||Series A, Series T
|Fund Category*||Canadian Fixed Income Balanced|
15% Solactive GBS Developed Markets Large & Mid Cap Index (C$)
|Portfolio Advisor||1832 Asset Management L.P.|
|Eligible for Registered Plans?||Yes|
|Management Expense Ratio||For details of the fund’s fees, please refer to either the Fund Profile or the Fund Fact Sheet.
|Minimum Initial Investment in Series A
|Minimum Subsequent Investment||25|