SunWise Manulife U.S. Opportunities Fund

Series Combined 75/100 (2001) CAD
 

Fund overview

The Fund invests in the Manulife U.S. Opportunities Fund.

Fund details

description of elementelement value
Inception date July 2009
CAD Total net assets ($CAD)
As at 2024-10-30
$1.1 million
NAVPS
As at 2024-11-21
$25.9345
MER (%)
As at 2024-06-30
4.16
Management fee (%) 2.30
Asset class U.S. Equity
Currency CAD
Minimum investment $500 initial/$50 additional

Risk rating1

  • Low
  • Low to moderate
  • Moderate
  • Moderate to high
  • High

FUND CODES

Combined 75/100 (2001) ISC 8042
DSC 8942
Basic 75/75 ISC 8112
DSC 8212
Basic 75/75 (2001) ISC 8012
DSC 8912
Combined 75/100 ISC 8312
DSC 8412
Full 100/100 ISC 8512
DSC 8612
Full 100/100 (2001) ISC 8072
DSC 8972

Performance2 As at 2024-10-31

Growth of $10,000 (Since inception date)

growth of 10k graph

Calendar year performance

annual performance graph

average annual compound returns

YTD 1 Mo 3 Mo 6 Mo 1 Y 3 Y 5 Y 10 Y Inception*
18.81% 1.24% 0.88% 6.12% 26.64% 8.54% 12.10% 9.51% 11.06%
*Since inception date

Management team

First we'll display the Team Company and then the Team members

SunWise Manulife U.S. Opportunities Fund

Series Combined 75/100 (2001) CAD
 
Portfolio allocations3 As at 2024-09-30
Asset allocation (%)
  • US Equity 90.30
  • International Equity 7.19
  • Cash and Equivalents 1.97
  • Canadian Equity 0.55
  • Other -0.01
Sector allocation (%)
  • Technology 27.88
  • Consumer Services 20.74
  • Healthcare 12.79
  • Financial Services 12.54
  • Industrial Goods 6.36
  • Basic Materials 5.89
  • Energy 5.03
  • Consumer Goods 3.52
  • Real Estate 3.12
  • Other 2.13
Geographic allocation(%)
  • United States 93.24
  • Ireland 2.74
  • France 1.66
  • Germany 1.34
  • Netherlands 0.79
  • United Kingdom 0.49
  • Norway 0.17
  • Other -0.01
  • Canada -0.42
Top holdings
Sector (%)
1. Microsoft Corp Information Technology 8.99%
2. Amazon.com Inc Retail 7.86%
3. Alphabet Inc Cl A Information Technology 7.68%
4. Broadcom Inc Computer Electronics 5.35%
5. Walmart Inc Retail 4.96%
6. Eli Lilly and Co Drugs 4.48%
7. JPMorgan Chase & Co Banking 3.91%
8. Berkshire Hathaway Inc Cl B Insurance 3.70%
9. Deere & Co Manufacturing 3.13%
10. Lowe's Cos Inc Retail 3.02%
11. Freeport-McMoRan Inc Metals and Mining 2.85%
12. Apple Inc Computer Electronics 2.30%
13. Procter & Gamble Co Consumer Non-durables 2.05%
14. Ingersoll Rand Inc Manufacturing 1.91%
15. Valero Energy Corp Integrated Production 1.75%
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