Skip navigation

GlobeinvestorGOLD Canada's most comprehensive investment tool.

Fund Price: $8.17 (as at February 8, 2010)  1-day chg: $-.03 -0.37%  YTD: -4.33%

Returns as at January 31, 2010

  Fund Group Avg Index*
1 Month -3.51% -2.76% -1.90%
3 Months 1.73% 2.65% 2.96%
6 Months 1.35% 7.22% 8.44%
1 Year 5.24% 17.71% 14.68%
2 Year Avg -11.16% -10.32% -6.82%
3 Year Avg -12.36% -12.16% -10.33%
5 Year Avg -4.22% -4.73% -2.80%
10 Year Avg -5.44% -5.03% -3.83%
15 Year Avg - 3.20% 5.61%
20 Year Avg - 5.11% 7.80%
Since Inception -1.42% - -
 
2009 4.02% 12.55% 8.08%
2008 -26.17% -30.46% -21.92%
2007 -6.00% -6.89% -10.55%
 
3 year risk 12.97 17.65 14.53
3 year beta 0.82 1.01 1.00

*S&P 500 Composite Total Return Idx($Cdn)

Growth of $10,000

This graph shows how a $10,000 investment in this fund would have changed in value compared with the S&P 500 Composite Total Return Idx($Cdn).

Risk Measures as at January 31, 2010

Best/Worst 12 months (since inception)
Best (ending Dec 98): 30.39 bar graph of the performance of this holding (negative result) bar graph of the performance of this holding (positive result)
Worst (ending Mar 03): -33.17 bar graph of the performance of this holding (negative result) bar graph of the performance of this holding (positive result)
Volatility meter (Based on 3 year standard deviation from Globefund.com)
Low VOLATILITY METER: 13 High

Fund Objectives

This fund's objective is to obtain long-term appreciation of capital. It invests primarily in equity and equity-related securities of companies that the portfolio advisor believes have good growth potential. These companies are located in countries that have signed the North American Free Trade Agreement (NAFTA) (or its successor). These countries currently include the United States, Canada and Mexico, but may also include countries that become members of NAFTA in the future. This fund is closed to new investors. No new contributions will be accepted.

Fund Facts

Fund Sponsor: CI Investments Inc.
Managed by: CI Investments Inc.
Fund Type: Seg
Inception Date: October 1997
Asset Class: U.S. Equity
Quartile Rank: 3 (3YR ending January 31, 2010)
Total Assets: $0.9 million
Mgmt Exp. Ratio (MER): 3.23%
Management Fee: 2.08%
Load Type: Optional
Globe 5-Star Rating:
RRSP Eligible:
Canadian
Min. Invest (initial):
-
Subsequent:
-
Min. Invest (initial RRSP):
-
Subsequent RRSP:
-
Closed:
Yes
Restricted:
No
Restriction:
 
 

Asset Allocation December 31, 2009

Equity Sector Weightings December 31, 2009

Fund Geography December 31, 2009

Top Holdings as at December 31, 2009

Symbol Company Name Sector Geographic
Area
Asset
Type
% of
Total Assets
  Performance as at February 8, 2010
1 Year Performance (%)
JPM-N JP Morgan Chase & Co. Banks United States Stock 2.7   36.45 bar graph of the performance of this holding (negative result) bar graph of the performance of this holding (positive result)
NBL-N Noble Energy Inc. Oil and Gas Producers United States Stock 2.22   32.0 bar graph of the performance of this holding (negative result) bar graph of the performance of this holding (positive result)
SBAC-Q Sba Communications Corp. Telecommunications United States Stock 2.15   49.95 bar graph of the performance of this holding (negative result) bar graph of the performance of this holding (positive result)
TMO-N Thermo Fisher Scientific Electrical & Electronic United States Stock 2.09   16.98 bar graph of the performance of this holding (negative result) bar graph of the performance of this holding (positive result)
GS-N Goldman Sachs Investment Companies and Funds United States Stock 2.02   56.47 bar graph of the performance of this holding (negative result) bar graph of the performance of this holding (positive result)
SU-T Suncor Energy Integrated Oils Canada Stock 1.94   22.71 bar graph of the performance of this holding (negative result) bar graph of the performance of this holding (positive result)
AAPL-Q Apple Electrical & Electronic United States Stock 1.88   94.67 bar graph of the performance of this holding (negative result) bar graph of the performance of this holding (positive result)
AMGN-Q Amgen Biotechnology & Pharmaceuticals United States Stock 1.86   -0.98 bar graph of the performance of this holding (negative result) bar graph of the performance of this holding (positive result)
UNP-N Union Pacific Transportation United States Stock 1.79   23.75 bar graph of the performance of this holding (negative result) bar graph of the performance of this holding (positive result)

Portfolio Manager(s)

David Picton

Synergy Asset Management

Start Date: June, 2004

Fund Return: -2.05%

Dave Picton has over 13 years of investment industry experience. For over five and a half years, he managed several portfolios for Synergy Mutual Funds, most notably the momentum funds. Dave joined CI after it acquired Synergy in October 2003. He also spent eight years as head of quantitative research at RBC Dominion Securities where he was one of the top ranked analysts in his sector. David holds an Honours Bachelor of Commerce degree from the University of British Columbia. He also received a Leslie Wong Fellowship from UBC's prestigious Portfolio Management Foundation.

Also manages:CI American Managers Corp Class, CI Canadian Small/Mid Cap, CI Select U.S. Eq Managed Corp Cl, CI Synergy Canadian Corporate Class, CI Synergy Tactical AA

View fund manager performance report



Back to top