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Purpose Monthly Income Fund Series A

Global Neutral Balanced

FundGrade C Click for more information on Fundata’s FundGrade

FundGrade C

Click for more information on Fundata’s FundGrade.

NAVPS
(04-15-2026)
$16.98
Change
-$0.05 (-0.31%)

As at March 31, 2026

As at March 31, 2026

Period
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Legend

Purpose Monthly Income Fund Series A

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Fund Returns

Inception Return (September 06, 2013): 4.25%

Fund Returns
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 -2.31% 5.04% 6.99% 5.04% 13.84% 10.86% 9.28% 6.13% 6.28% 8.35% 5.66% 5.35% 4.55% 4.88%
Benchmark -3.32% -0.31% -0.10% -0.31% 9.45% 10.57% 11.17% 8.29% 6.50% 7.93% 7.03% 6.79% 6.91% 7.25%
Category Average -3.50% -0.09% 0.96% -0.09% 8.98% 8.53% 9.07% 5.89% 5.31% 7.96% 5.85% 5.58% 5.40% 5.77%
Category Rank 160 / 1,776 79 / 1,760 66 / 1,744 79 / 1,760 197 / 1,711 412 / 1,654 900 / 1,606 909 / 1,550 549 / 1,365 599 / 1,284 782 / 1,234 698 / 1,109 715 / 927 682 / 860
Quartile Ranking 1 1 1 1 1 1 3 3 2 2 3 3 4 4

Monthly Return

Monthly Return
Return % Apr May Jun Jul Aug Sep Oct Nov Dec Jan Feb Mar
Fund -1.20% 1.61% 1.27% 0.14% 2.23% 2.23% 0.32% 1.59% -0.06% 3.18% 4.22% -2.31%
Benchmark -2.19% 2.47% 2.53% 1.48% 1.44% 3.57% 1.71% -0.22% -1.26% 1.04% 2.06% -3.32%

Best Monthly Return Since Inception

5.76% (April 2020)

Worst Monthly Return Since Inception

-10.01% (March 2020)

Calendar Return (%)

Calendar Return
Return % 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Fund 10.11% 2.29% -5.06% 10.11% 2.22% 8.60% -3.69% 4.61% 7.01% 12.57%
Benchmark 2.39% 8.66% 2.68% 12.26% 11.12% 6.48% -11.62% 11.69% 17.48% 10.42%
Category Average 5.05% 7.69% -3.99% 13.52% 7.16% 9.69% -11.26% 9.53% 12.15% 9.84%
Quartile Ranking 1 4 4 4 4 3 1 4 4 1
Category Rank 37/ 845 895/ 922 883/ 1,068 1,064/ 1,181 1,208/ 1,270 808/ 1,357 52/ 1,499 1,584/ 1,606 1,602/ 1,654 338/ 1,709

Best Calendar Return (Last 10 years)

12.57% (2025)

Worst Calendar Return (Last 10 years)

-5.06% (2018)

Asset Allocation

Asset Allocation
Name Percent
Foreign Corporate Bonds 32.40
Canadian Equity 19.16
US Equity 16.15
International Equity 12.92
Cash and Equivalents 12.13
Other 7.24

Sector Allocation

Sector Allocation
Name Percent
Fixed Income 38.41
Financial Services 10.63
Energy 9.07
Basic Materials 7.91
Exchange Traded Fund 7.35
Other 26.63

Geographic Allocation

Geographic Allocation
Name Percent
North America 81.05
Europe 9.70
Asia 3.56
Latin America 2.41
Africa and Middle East 1.58
Other 1.70

Top Holdings

Top Holdings
Name Percent
iShares iBoxx $ High Yield Corp Bond ETF (HYG) 23.75
Purpose Global Bond Class ETF (IGB) 15.25
Purpose International Dividend Fund ETF (PID) 7.39
Purpose Cash Management Fund ETF - Closed 5.31
BMO Mid Corporate Bond Index ETF (ZCM) 2.46
Purpose Premium Yield Fund ETF (PYF) 2.05
Purpose Emerging Markets Dividend Fund ETF (REM) 2.00
Purpose Gold Bullion Fund ETF N-C Hgd (KILO.B) 1.62
Agnico Eagle Mines Ltd 1.30
Exxon Mobil Corp 1.23

Equity Style

. .

Fixed Income Style

Fixed income style data not available
Period: 

Risk vs Return (3 Yr)

Purpose Monthly Income Fund Series A

Median

Other - Global Neutral Balanced

3 Yr Annualized

Standard Deviation 6.47% 6.95% 6.90%
Beta 0.68% 0.64% 0.65%
Alpha 0.02% 0.02% 0.00%
Rsquared 0.51% 0.56% 0.48%
Sharpe 0.84% 0.51% 0.45%
Sortino 1.60% 0.72% 0.40%
Treynor 0.08% 0.05% 0.05%
Tax Efficiency 74.33% 62.87% 51.98%
Volatility Volatility rating is 3 on a scale of 1 to 10 Volatility rating is 3 on a scale of 1 to 10 Volatility rating is 3 on a scale of 1 to 10

Risk Rating

Rating 3 out of ten

Annualized Key Ratio Period Comparison

Key Ratio
Key Ratio 1 Yr 3 Yr 5 Yr 10 Yr
Standard Deviation 6.35% 6.47% 6.95% 6.90%
Beta 0.64% 0.68% 0.64% 0.65%
Alpha 0.07% 0.02% 0.02% 0.00%
Rsquared 0.54% 0.51% 0.56% 0.48%
Sharpe 1.70% 0.84% 0.51% 0.45%
Sortino 3.45% 1.60% 0.72% 0.40%
Treynor 0.17% 0.08% 0.05% 0.05%
Tax Efficiency 82.95% 74.33% 62.87% 51.98%

Fund Details

Start Date September 06, 2013
Instrument Type Mutual Fund
Share Class Commission Based Advice
Legal Status Corporation
Sales Status Partially Open
Currency CAD
Distribution Frequency Monthly
Assets ($mil) $1

Fund Codes

FundServ Code Load Code Sales Status
PFC200

Investment Objectives

The fund seeks to (i) maximize total return, consisting of dividend income and capital appreciation by tactically investing in a broad range of asset classes which may include equity, fixed income and inflation sensitive securities and cash; and (ii) provide shareholders with stable monthly distributions.

Investment Strategy

The fund is tactically managed across a broad range of asset classes including equities, fixed income, inflation sensitive securities and cash based on a risk-parity weighting methodology, with the goal of achieving a positive total return in diverse market environments while reducing portfolio risk.

Portfolio Management

Portfolio Manager

Purpose Investments Inc.

Sub-Advisor

Neuberger Berman Breton Hill ULC

Management and Organization

Fund Manager

Purpose Investments Inc.

Custodian

CIBC Mellon Trust Company

Registrar

CIBC Mellon Global Securities Services Company

Distributor

-

Investment Minimums

RSP Eligible Yes
PAC Allowed Yes
PAC Initial Investment 5,000
PAC Subsequent 100
SWP Allowed Yes
SWP Min Balance 15,000
SWP Min Withdrawal 100

Fees

MER 1.85%
Management Fee 1.55%
Load Back Fee Only
FE Max 5.00%
DSC Max -
Trailer Fee Max (FE) 1.00%
Trailer Fee Max (DSC) -
Trailer Fee Max (NL) -
Trailer Fee Max (LL) -

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