CI U.S. Dividend Fund

Series A USD
 

Fund overview

This fund invests in an actively managed portfolio of primarily U.S. equities.

Fund details

description of elementelement value
Inception date June 2006
CAD Total net assets ($CAD)
As at 2026-06-30
$333.4 million
NAVPS
As at 2026-07-10
$19.3953
MER (%)
As at 2026-03-31
2.45
Management fee (%) 2.00
Asset class U.S. Dividend
Currency USD
Minimum investment $500 initial/$25 additional
Distribution frequency Monthly
Last distribution $0.0141

Risk rating1

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

FUND CODES

A ISC 21113
DSC SO* 21163
LL SO 21463
E 17162
F 21013
I 21513
O 19162
P 90364
*No new purchases directly into switch only funds.

Performance2 As at 2026-06-30

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*
3.44% -0.46% 8.44% 3.44% 8.91% 12.44% 7.93% 9.36% 7.36%
*Since inception date

Distribution history3

Payable date Total
2026-06-26 0.0141
2026-05-22 0.0145
2026-04-24 0.0146
2026-03-27 0.0144
2026-02-20 0.0146
Payable date Total
2026-01-23 0.0146
2025-12-24 1.7856
2025-11-21 0.0142
2025-10-24 0.0143
2025-09-26 0.0144

Management team

First we'll display the Team Company and then the Team members
Peter Hofstra
Bunty Mahairhu
Ali Pervez

CI U.S. Dividend Fund

Series A USD
 
Portfolio allocations4 As at 2026-06-30
Asset allocation (%)
  • US Equity 95.58
  • International Equity 3.49
  • Cash and Equivalents 0.92
  • Other 0.01
Sector allocation (%)
  • Technology 32.52
  • Financial Services 16.00
  • Consumer Goods 9.78
  • Consumer Services 8.60
  • Other 7.89
  • Industrial Goods 7.08
  • Real Estate 6.58
  • Healthcare 5.46
  • Energy 3.57
  • Telecommunications 2.52
Geographic allocation(%)
  • United States 95.81
  • Ireland 3.47
  • Other 0.70
  • Luxembourg 0.02
Top holdings6
Sector (%)
1. Coca-Cola Co Food, Beverage and Tobacco 5.29%
2. NVIDIA Corp Computer Electronics 4.51%
3. Alphabet Inc Cl C Information Technology 4.48%
4. Broadcom Inc Computer Electronics 4.23%
5. Microsoft Corp Information Technology 3.77%
6. Exxon Mobil Corp Integrated Production 3.57%
7. Texas Instruments Inc Computer Electronics 3.42%
8. Merck & Co Inc Drugs 3.40%
9. Visa Inc Cl A Diversified Financial Services 3.13%
10. Bank of America Corp Banking 3.01%
11. Meta Platforms Inc Cl A Information Technology 2.94%
12. Citigroup Inc Banking 2.89%
13. Lam Research Corp Computer Electronics 2.88%
14. Ventas Inc Real Estate Investment Trust 2.85%
15. AT&T Inc Telephone Service Providers 2.52%
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