CI Structured Premium Yield Fund

Series A CAD
 

Fund overview

The fund’s investment objective is to provide investors with the opportunity for regular distributions by replicating the outcome of an actively managed portfolio of diversified structured notes, primarily through investing in derivatives and/or structured notes that provide exposure to North American and/or global equity indexes and securities.

Fund details

description of elementelement value
Inception date January 2025
CAD Total net assets ($CAD)
As at 2025-08-29
$32.4 million
NAVPS
As at 2025-10-06
$9.9270
MER (%)
As at 2025-03-31
2.00
Management fee (%) 1.55
Asset class Diversified Income
Currency CAD
Minimum investment $500 initial/$25 additional
Distribution frequency Monthly
Last distribution $0.0489

Risk rating1

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

FUND CODES

A ISC 2046
DSC SO* 3546
LL SO 3046
F 4146
I 5146
P 90179
*No new purchases directly into switch only funds.

Performance2 As at 2025-09-30

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

Distribution history3

Payable date Total
2025-09-26 0.0489
2025-08-22 0.0489
2025-07-25 0.0489
2025-06-27 0.0489
2025-05-23 0.0489
Payable date Total
2025-04-25 0.0489
2025-03-28 0.0489
2025-02-21 0.0489

Management team

First we'll display the Team Company and then the Team members
Geof Marshall
Kevin McSweeney
Lee Goldman

CI Structured Premium Yield Fund

Series A CAD
 
Reference Asset Breakdown As at 2025-08-31
Reference Asset Sector Allocation (%)
  • Broad Market 31.89
  • Financials 16.38
  • Energy 16.38
  • Materials 9.48
  • Health Care 8.62
  • Information Technology 6.89
  • Communication Services 3.45
  • Utilities 3.45
  • Industrials 1.72
  • Real Estate 1.72
Reference Asset Geographical Allocation(%)
  • Canada 52.59
  • United States 37.05
  • Europe 5.17
  • North America 5.17
Index name Region Sector Positions (%)
Core Canadian Large Cap Index Canada Broad Market 4 7.76%
US Select Healthcare Index United States Health Care 2 6.90%
Canada Insurance Index Canada Financials 4 6.90%
Canada Pipelines Index Canada Energy 4 6.90%
US Equal Weight Semi Conductor Index United States Information Technology 3 5.17%
North America Select Gold Miners Index North America Materials 3 5.17%
Equal Weight US Blue Chip Select Index United States Broad Market 3 5.17%
EURO STOXX 50 Index Europe Broad Market 3 5.17%
Canada Blue Chip Index Canada Broad Market 3 5.17%
Equal Weight Canada Bank Index Canada Financials 2 4.31%
Canada Energy Select Index Canada Energy 2 4.31%
US Agriculture Equal Weight Select Index United States Materials 2 4.31%
Canada Utilities Index Canada Utilities 2 3.45%
Canada Utility Services High Dividend Index Canada Broad Market 1 3.45%
Canada Top 30 Large Cap Dividend Index Canada Broad Market 2 3.45%
Canada Telecommunications Index Canada Communication Services 2 3.45%
Equal Weight US Major Bank Select Index United States Financials 2 3.45%
US Energy Equal Weight Select Index United States Energy 2 3.45%
US Technology Select Sector Index United States Information Technology 1 1.72%
Air Canada Canada Industrials 2 1.72%
UnitedHealth Group Inc. United States Health Care 1 1.72%
US Real Estate ETF United States Real Estate 1 1.72%
US Energy Select Sector Index United States Energy 1 1.72%
Equal Weight US Pricing Power Select Index United States Broad Market 1 1.72%
Canada Bank Index Canada Financials 1 1.72%
Top holdings4
Sector (%)
1. Ontario Province 3.20% 21-Feb-2030 Fixed Income 27.29%
2. Canada Housing Trust No 1 3.14% 15-Mar-2030 Fixed Income 17.51%
3. Province Of Quebec Canada 3.22% 22-Jul-2030 Fixed Income 16.06%
4. Pacific Life Global Funding II 3.14% 01-Feb-2027 Fixed Income 7.27%
5. New York Life Global Funding 3.67% 30-Jun-2026 Fixed Income 6.59%
6. Canada Government 25-Feb-2026 Cash and Cash Equivalent 5.77%
7. Manulife Bank Of Canada 3.47% 21-Aug-2028 Fixed Income 5.14%
8. Nova Scotia Province 3.52% 01-Jun-2032 Fixed Income 4.24%
9. Metropolitan Life Globl Fndg I 3.83% 15-Jun-2026 Fixed Income 3.72%
10. Metropolitan Life Globl Fndg I 3.60% 01-Apr-2028 Fixed Income 3.53%
11. CASH Cash and Cash Equivalent 0.98%
12. Ois_Cad_Otc_0.0956000000000_3M_Cad-Corra-Ois-Compound_1D_Eff_2025-04-11_Mat_2032 Other 0.14%
13. Ois_Cad_Otc_0.1036000000000_3M_Cad-Corra-Ois-Compound_1D_Eff_2025-04-04_Mat_2032 Other 0.12%
14. Ois_Cad_Otc_0.0931000000000_3M_Cad-Corra-Ois-Compound_1D_Eff_2025-04-10_Mat_2032 Other 0.11%
15. Ois_Cad_Otc_0.1210000000000_3M_Cad-Corra-Ois-Compound_1D_Eff_2025-04-04_Mat_2032 Other 0.09%
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