CI Conservative Asset Allocation Fund

Series F CAD
 

Fund overview

The fund seeks to provide income with a potential for modest capital appreciation by investing in ETFs that provide exposure to a portfolio of global fixed income and equity securities.

Fund details

description of elementelement value
Inception date October 2024
CAD Total net assets ($CAD)
As at 2025-05-30
$533.8 thousand
NAVPS
As at 2025-07-04
$10.0803
MER (%)
As at 2025-03-31
0.30
Management fee (%) 0.17
Asset class Global Balanced
Currency CAD
Minimum investment $500 initial/$25 additional
Distribution frequency Quarterly
Last distribution $0.0820

Risk rating1

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

FUND CODES

F 4140
A ISC 2040
DSC 3540
LL 3040
I 5140
P 90135

Performance2 As at 2025-06-30

*Fund performance is not available for funds with a history of less than one year.

Distribution history3

Payable date Total
2025-06-27 0.0820
2025-03-28 0.0651
2024-12-27 0.1175

Management team

First we'll display the Team Company and then the Team members
Marc-André Lewis
Stephen Lingard

CI Conservative Asset Allocation Fund

Series F CAD
 
Portfolio allocations4 As at 2025-05-31
Asset allocation (%)
  • Canadian Government Bonds 46.68
  • Canadian Corporate Bonds 14.67
  • Foreign Government Bonds 12.20
  • US Equity 6.71
  • International Equity 6.43
  • Canadian Equity 6.35
  • Mortgages 2.82
  • Foreign Corporate Bonds 2.54
  • Cash and Equivalents 1.08
  • Other 0.52
Sector allocation (%)
  • Fixed Income 76.19
  • Exchange Traded Fund 9.05
  • Other 3.88
  • Financial Services 3.64
  • Technology 1.58
  • Basic Materials 1.35
  • Energy 1.21
  • Cash and Cash Equivalent 1.08
  • Industrial Services 1.01
  • Consumer Goods 1.01
Geographic allocation(%)
  • Canada 68.71
  • United States 15.08
  • Other 5.94
  • Japan 3.08
  • China 2.02
  • United Kingdom 1.52
  • France 1.22
  • Germany 1.17
  • Europe 0.67
  • Australia 0.59
Top holdings5
Sector (%)
1. CI Conservative Asset Allocation ETF Unh (CCNV) Exchange Traded Fund 99.97%
2. CASH Cash and Cash Equivalent 0.03%
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