CI North American Dividend Fund

Series PT8 CAD
 

Fund overview

CI North American Dividend Fund's investment objective is to seek a balance of current income and long-term capital appreciation by investing primarily in a diversified portfolio of dividend-paying and/or distribution-paying North American equity and income securities, including income trusts and common and preferred shares and, to a lesser extent, interest bearing securities, such as bonds, bills or bankers' acceptances.

Fund details

description of elementelement value
Inception date December 2015
CAD Total net assets ($CAD)
As at 2025-02-27
$755.5 million
NAVPS
As at 2025-03-28
$11.7974
MER (%)
As at 2024-09-30
0.28
Management fee (%) 0.85
Asset class Canadian Dividend
Currency CAD
Minimum investment $500 initial/$25 additional
Distribution frequency Monthly
Last distribution $0.0857

Risk rating1

  • Low
  • Low to medium
  • Medium
  • Medium to high
  • High

FUND CODES

T6 T8
P 58227 58877
A ISC 50227
DSC 50127
DSC 50327
LL 50427
LL 50027
ISC 11648
DSC 11698
LL 11998
B DSC SO* 51227
LL SO 53227
LL 52227
B8 DSC SO 51877
LL SO 53877
LL 52877
D 11098
E 16087
EF 15087
F 54227 54877
I 55227
O 18087
*No new purchases directly into switch only funds.

Performance2 As at 2025-02-28

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*
1.29% -2.69% 2.15% 9.37% 21.55% 14.24% 14.85% - 12.32%
*Since inception date

Distribution history3

Payable date Total
2025-03-27 0.0857
2025-02-21 0.0857
2025-01-24 0.0857
2024-12-20 0.2172
2024-12-19 0.0709
Payable date Total
2024-11-22 0.0709
2024-10-25 0.0709
2024-09-26 0.0709
2024-08-23 0.0709
2024-07-26 0.0709

CI PREFERRED PRICING4

Investment amount Combined fee reduction
$100,000 - $250,000 0.03%
$250,000 - $500,000 0.05%
$500,000 - $1,000,000 0.08%
$1,000,000 - $2,500,000 0.10%
$2,500,000 - $5,000,000 0.13%
$5,000,000 and above 0.15%

Management team

First we'll display the Team Company and then the Team members
Peter Hofstra
Jeremy Rosa

CI North American Dividend Fund

Series PT8 CAD
 
Portfolio allocations5 As at 2025-02-28
Asset allocation (%)
  • US Equity 74.63
  • Canadian Equity 16.09
  • International Equity 8.49
  • Cash and Equivalents 0.82
  • Other -0.03
Sector allocation (%)
  • Technology 39.51
  • Healthcare 19.11
  • Financial Services 14.72
  • Consumer Services 10.48
  • Industrial Goods 5.42
  • Real Estate 4.84
  • Industrial Services 3.40
  • Consumer Goods 1.65
  • Cash and Cash Equivalent 0.82
  • Other 0.05
Geographic allocation(%)
  • United States 74.61
  • Canada 16.92
  • Israel 2.48
  • Taiwan 2.23
  • United Kingdom 2.02
  • Ireland 1.71
  • Cayman Islands 0.04
  • Other -0.01
Underlying fund allocations
Sector (%)
1. Microsoft Corp Information Technology 6.15%
2. NVIDIA Corp Computer Electronics 4.61%
3. Mastercard Inc Cl A Diversified Financial Services 4.27%
4. Apple Inc Computer Electronics 4.10%
5. Amazon.com Inc Retail 3.88%
6. Meta Platforms Inc Cl A Information Technology 3.73%
7. Alphabet Inc Cl A Information Technology 3.53%
8. Royal Bank of Canada Banking 3.40%
9. Constellation Software Inc Information Technology 3.39%
10. S&P Global Inc Professional Services 3.29%
11. UnitedHealth Group Inc Healthcare Services 3.17%
12. Broadcom Inc Computer Electronics 3.12%
13. Thermo Fisher Scientific Inc Healthcare Equipment 3.10%
14. Merck & Co Inc Drugs 2.79%
15. WSP Global Inc Construction 2.76%
Top holdings
Sector (%)
1. Microsoft Corp Information Technology 6.25%
2. NVIDIA Corp Computer Electronics 4.72%
3. Mastercard Inc Cl A Diversified Financial Services 4.27%
4. Apple Inc Computer Electronics 4.17%
5. Amazon.com Inc Retail 3.99%
6. Meta Platforms Inc Cl A Information Technology 3.85%
7. Alphabet Inc Cl A Information Technology 3.63%
8. Constellation Software Inc Information Technology 3.47%
9. Royal Bank of Canada Banking 3.40%
10. S&P Global Inc Professional Services 3.39%
11. UnitedHealth Group Inc Healthcare Services 3.25%
12. Broadcom Inc Computer Electronics 3.21%
13. Thermo Fisher Scientific Inc Healthcare Equipment 3.18%
14. WSP Global Inc Construction 2.85%
15. Merck & Co Inc Drugs 2.79%
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