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Global Fixed Income
NAVPS (12-20-2024) |
$10.09 |
---|---|
Change |
$0.02
(0.19%)
|
As at November 30, 2024
As at October 31, 2024
Inception Return (November 27, 1991): 3.00%
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 | 0.87% | -1.13% | 2.39% | -0.63% | 2.71% | 2.50% | -3.18% | -2.64% | -0.70% | 1.10% | 0.54% | 0.62% | 0.54% | 0.39% |
Benchmark | 0.50% | -1.36% | 5.44% | 0.37% | 4.71% | 3.05% | -4.24% | -4.14% | -1.96% | -0.14% | -0.52% | 0.29% | 0.60% | 0.16% |
Category Average | 1.03% | 0.79% | 4.47% | 3.63% | 6.80% | 4.30% | -0.77% | -0.95% | 0.29% | 1.39% | 0.89% | 1.20% | 1.33% | 1.41% |
Category Rank | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
Quartile Ranking | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
Return % | Dec | Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov |
---|---|---|---|---|---|---|---|---|---|---|---|---|
Fund | 3.36% | -0.52% | -1.27% | 0.38% | -2.63% | 1.09% | 0.59% | 1.71% | 1.23% | 0.68% | -2.65% | 0.87% |
Benchmark | 4.32% | -1.29% | -1.49% | 0.63% | -2.72% | 0.00% | 1.57% | 2.90% | 2.28% | 1.65% | -3.45% | 0.50% |
4.10% (May 1995)
-4.41% (September 2022)
Return % | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
---|---|---|---|---|---|---|---|---|---|---|
Fund | 4.53% | -1.59% | 0.21% | 1.63% | -1.41% | 8.24% | 7.96% | -1.43% | -13.56% | 6.12% |
Benchmark | 1.29% | -2.75% | 2.17% | 6.95% | -1.09% | 6.85% | 8.94% | -5.24% | -16.87% | 5.56% |
Category Average | 4.74% | 2.92% | 2.08% | 2.75% | -0.04% | 5.49% | 5.94% | -1.81% | -10.70% | 5.33% |
Quartile Ranking | - | - | - | - | - | - | - | - | - | - |
Category Rank | - | - | - | - | - | - | - | - | - | - |
8.24% (2019)
-13.56% (2022)
Name | Percent |
---|---|
Foreign Government Bonds | 59.43 |
Foreign Corporate Bonds | 28.93 |
Cash and Equivalents | 6.30 |
US Equity | 5.35 |
Other | -0.01 |
Name | Percent |
---|---|
Fixed Income | 88.35 |
Cash and Cash Equivalent | 6.30 |
Financial Services | 5.35 |
Name | Percent |
---|---|
North America | 100.00 |
Name | Percent |
---|---|
United States Treasury 3.88% 15-Aug-2034 | 20.58 |
United States Treasury 3.50% 30-Sep-2029 | 17.14 |
United States Treasury 3.50% 30-Sep-2026 | 8.38 |
United States Treasury 4.25% 15-Aug-2054 | 8.19 |
United States Treasury 3.88% 15-Oct-2027 | 5.14 |
USD OVERNIGHT DEPOSIT | 4.26 |
Citigroup Inc - Pfd | 3.21 |
Welltower OP LLC 2.05% 15-Nov-2028 | 3.07 |
UnitedHealth Group Inc 3.50% 15-Feb-2039 | 2.57 |
JPMorgan Chase & Co - Pfd | 2.13 |
Scotia U.S. $ Bond Fund - Series A
Median
Other - Global Fixed Income
Standard Deviation | 7.05% | 6.08% | 5.00% |
---|---|---|---|
Beta | 0.78% | 0.58% | 0.37% |
Alpha | -0.02% | 0.00% | 0.00% |
Rsquared | 0.57% | 0.44% | 0.33% |
Sharpe | -0.93% | -0.46% | -0.22% |
Sortino | -1.03% | -0.73% | -0.64% |
Treynor | -0.08% | -0.05% | -0.03% |
Tax Efficiency | - | - | - |
Volatility |
Key Ratio | 1 Yr | 3 Yr | 5 Yr | 10 Yr |
---|---|---|---|---|
Standard Deviation | 6.07% | 7.05% | 6.08% | 5.00% |
Beta | 0.84% | 0.78% | 0.58% | 0.37% |
Alpha | -0.04% | -0.02% | 0.00% | 0.00% |
Rsquared | 0.41% | 0.57% | 0.44% | 0.33% |
Sharpe | -0.27% | -0.93% | -0.46% | -0.22% |
Sortino | -0.03% | -1.03% | -0.73% | -0.64% |
Treynor | -0.02% | -0.08% | -0.05% | -0.03% |
Tax Efficiency | 53.20% | - | - | - |
Start Date | November 27, 1991 |
---|---|
Instrument Type | Mutual Fund |
Share Class | Commission Based Advice |
Legal Status | Trust |
Sales Status | Open |
Currency | USD |
Distribution Frequency | Monthly |
Assets ($mil) | $40 |
FundServ Code | Load Code | Sales Status |
---|---|---|
BNS359 |
The Fund’s objective is to provide a high level of interest income. It invests primarily in bonds and treasury bills that are denominated in U.S. dollars and are issued by governments, corporations or supranational entities around the world.
Securities will generally have at the time of purchase a minimum credit rating of BBB (low) or R2 (low) or better by Dominion Bond Rating Service Limited, or an equivalent rating by another designated rating organization. The average term to maturity of the Fund’s investments will vary depending on market conditions. The portfolio adviser adjusts the average term to maturity to try to maximize returns while minimizing interest rate risk.
Name | Start Date |
---|---|
Kevin Pye | 10-01-2014 |
Fund Manager | 1832 Asset Management L.P. |
---|---|
Advisor | 1832 Asset Management L.P. |
Custodian | The Bank of Nova Scotia |
Registrar | 1832 Asset Management L.P. |
Distributor | Scotia Securities Inc. |
Auditor | KPMG LLP |
RSP Eligible | Yes |
---|---|
PAC Allowed | Yes |
PAC Initial Investment | 25 |
PAC Subsequent | 25 |
SWP Allowed | Yes |
SWP Min Balance | 5,000 |
SWP Min Withdrawal | 50 |
MER | 1.30% |
---|---|
Management Fee | 1.10% |
Load | No Load |
FE Max | - |
DSC Max | - |
Trailer Fee Max (FE) | - |
Trailer Fee Max (DSC) | - |
Trailer Fee Max (NL) | 0.75% |
Trailer Fee Max (LL) | - |
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