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2025 Target Date
Click for more information on Fundata’s FundGrade.
NAVPS (04-04-2025) |
$14.23 |
---|---|
Change |
$0.00
(0.02%)
|
As at February 28, 2025
As at January 31, 2025
Inception Return (September 30, 2010): 2.67%
Row Heading | Return | Annualized Return | ||||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
1 Mth | 3 Mth | 6 Mth | YTD | 1 Yr | 2 Yr | 3 Yr | 4 Yr | 5 Yr | 6 Yr | 7 Yr | 8 Yr | 9 Yr | 10 Yr | |
Fund | 0.22% | 3.94% | 5.27% | 0.58% | 8.28% | 6.13% | 2.57% | 1.29% | 1.43% | 1.92% | 1.94% | 1.57% | 1.49% | 1.01% |
Benchmark | 0.29% | 0.63% | 7.50% | 2.72% | 16.04% | 11.31% | 6.08% | 6.93% | 7.24% | 7.23% | 7.00% | 6.40% | 7.12% | 5.58% |
Category Average | 0.35% | 1.70% | 4.99% | 2.13% | 10.22% | 8.19% | 4.15% | 3.68% | 4.52% | 4.73% | 4.33% | 4.34% | 4.84% | 3.82% |
Category Rank | 15 / 26 | 3 / 26 | 16 / 26 | 18 / 26 | 18 / 26 | 18 / 26 | 18 / 26 | 21 / 25 | 18 / 21 | 17 / 20 | 17 / 19 | 18 / 18 | 14 / 14 | 14 / 14 |
Quartile Ranking | 3 | 1 | 3 | 3 | 3 | 3 | 3 | 4 | 4 | 4 | 4 | 4 | 4 | 4 |
Return % | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | Jan | Feb |
---|---|---|---|---|---|---|---|---|---|---|---|---|
Fund | 0.40% | 0.26% | 0.60% | 0.48% | 0.65% | 0.45% | 0.54% | 0.35% | 0.38% | 3.35% | 0.35% | 0.22% |
Benchmark | 2.49% | -1.88% | 1.52% | 0.56% | 4.19% | 0.91% | 2.55% | -0.02% | 4.18% | -2.03% | 2.42% | 0.29% |
5.29% (January 2015)
-3.85% (June 2013)
Return % | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 |
---|---|---|---|---|---|---|---|---|---|---|
Fund | 3.26% | -1.07% | 1.13% | -0.94% | 5.00% | 5.24% | -2.51% | -5.75% | 3.72% | 8.14% |
Benchmark | -3.02% | 11.97% | 6.22% | -4.30% | 15.62% | 7.61% | 11.90% | -8.20% | 9.43% | 13.55% |
Category Average | 2.21% | 4.79% | 6.45% | -2.30% | 10.77% | 8.00% | 5.31% | -8.27% | 6.81% | 9.03% |
Quartile Ranking | 4 | 4 | 4 | 1 | 4 | 4 | 4 | 1 | 4 | 3 |
Category Rank | 11/ 14 | 13/ 14 | 17/ 18 | 3/ 19 | 20/ 20 | 17/ 20 | 19/ 23 | 5/ 26 | 23/ 26 | 17/ 26 |
8.14% (2024)
-5.75% (2022)
Name | Percent |
---|---|
Cash and Equivalents | 99.70 |
International Equity | 0.30 |
Name | Percent |
---|---|
Cash and Cash Equivalent | 99.70 |
Mutual Fund | 0.30 |
Name | Percent |
---|---|
North America | 99.70 |
Multi-National | 0.30 |
Name | Percent |
---|---|
Ontario Province 02-Jun-2025 | 32.31 |
Saskatchewan Province 30-May-2025 | 11.83 |
Canada Government 01-Jun-2025 | 11.35 |
Newfoundland & Labrdr Province 17-Apr-2025 | 11.03 |
Quebec Province 01-Jun-2025 | 10.54 |
British Columbia Province 18-Jun-2025 | 9.02 |
Alberta Province 01-Jun-2025 | 2.55 |
Ontario Electricity Fncl Corp 11-Apr-2025 | 2.31 |
Canada Government 01-Jun-2025 | 1.55 |
Canadian Treasury Bill 27-Mar-2025 | 1.40 |
Sun Life Milestone 2025 Fund Series A
Median
Other - 2025 Target Date
Standard Deviation | 2.96% | 2.84% | 3.38% |
---|---|---|---|
Beta | 0.11% | 0.11% | 0.17% |
Alpha | 0.02% | 0.01% | 0.00% |
Rsquared | 0.13% | 0.17% | 0.17% |
Sharpe | -0.41% | -0.32% | -0.18% |
Sortino | -0.20% | -0.71% | -0.72% |
Treynor | -0.11% | -0.08% | -0.04% |
Tax Efficiency | 87.50% | 86.65% | 90.42% |
Volatility |
|
|
|
Key Ratio | 1 Yr | 3 Yr | 5 Yr | 10 Yr |
---|---|---|---|---|
Standard Deviation | 2.96% | 2.96% | 2.84% | 3.38% |
Beta | -0.18% | 0.11% | 0.11% | 0.17% |
Alpha | 0.11% | 0.02% | 0.01% | 0.00% |
Rsquared | 0.19% | 0.13% | 0.17% | 0.17% |
Sharpe | 1.33% | -0.41% | -0.32% | -0.18% |
Sortino | - | -0.20% | -0.71% | -0.72% |
Treynor | -0.22% | -0.11% | -0.08% | -0.04% |
Tax Efficiency | 88.04% | 87.50% | 86.65% | 90.42% |
Start Date | September 30, 2010 |
---|---|
Instrument Type | Mutual Fund |
Share Class | Commission Based Advice |
Legal Status | Trust |
Sales Status | Partially Open |
Currency | CAD |
Distribution Frequency | Annual |
Assets ($mil) | - |
FundServ Code | Load Code | Sales Status |
---|---|---|
SUN109 | ||
SUN209 | ||
SUN309 |
The Fund’s investment objective is to seek long-term capital appreciation and, in respect of each series, to pay, on the scheduled Maturity Date, an amount per unit equal to the greatest of the following three values: (i) $10.00 per unit (the NAV per unit on the start date), (ii) the highest month-end NAV per unit during the period from the start date until the scheduled Maturity Date, or (iii) the NAV per unit on the scheduled Maturity Date of the Fund (the Guaranteed Value).
In pursuing the Fund’s investment objective, the portfolio manager and the sub-advisor: use an asset allocation strategy to determine the balance between the portion of the Fund’s portfolio invested in zero-coupon bonds and the portion invested in units of Sun Life Milestone Global Equity Fund (a mutual fund managed by us) and cash equivalents, based on the remaining time until the Fund’s scheduled Maturity Date and the amount of the portfolio required to cover the Guaranteed Value.
Portfolio Manager |
SLGI Asset Management Inc.
|
---|---|
Sub-Advisor |
Sun Life Capital Management (Canada) Inc. |
Fund Manager |
SLGI Asset Management Inc. |
---|---|
Custodian |
RBC Investor Services Trust (Canada) |
Registrar |
International Financial Data Services (Canada) Ltd |
Distributor |
- |
RSP Eligible | Yes |
---|---|
PAC Allowed | Yes |
PAC Initial Investment | 50 |
PAC Subsequent | 50 |
SWP Allowed | Yes |
SWP Min Balance | 5,000 |
SWP Min Withdrawal | 50 |
MER | 0.00% |
---|---|
Management Fee | 1.25% |
Load | Choice of Front or No Load |
FE Max | 5.00% |
DSC Max | 2.50% |
Trailer Fee Max (FE) | 1.00% |
Trailer Fee Max (DSC) | 0.50% |
Trailer Fee Max (NL) | - |
Trailer Fee Max (LL) | - |
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