CI Select Staging Fund

NAVPS ($)

As at 2025-06-06

10.0710

Management fee (%)

1.00

MER (%)

As at 2024-09-30

0.00

Risk rating

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

Fund codes

ISC 2230 Open 1
DSC 3230 Switch Only 2
LL 1430 Switch Only 2

Total net assets ($CAD)

As at 2025-04-29

$24.83 thousand

Last distribution

$0.0192 per unit

RRSP

Eligible

1Available for clients with Portfolio Select Series accounts.
2No new purchases directly into switch only funds.

Investor suitability

For those who:

  • want a temporary place to invest your money while you are waiting to invest in other Select Funds
  • are participating in the PSS program
  • can tolerate low risk
  • The fund is available only within the PSS program as a trading facilitator for purchases of other Select Funds within the program .

Fund overview

This fund invests primarily in Canadian money market instruments, cash and cash equivalents that mature in less than 365 days.


Fund/ETF Facts (2025-04-29)

Inception date

2005-11-07

Asset class

Money Market

Income distribution

Monthly

Minimum investment

$500 initial/$25 additional

Growth of $10,000


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CI Prestige Pricing – Automatic discounted pricing

CI Prestige Pricing fee reductions apply to management fees and start at $100,000.

Investment amount Net Management Fee
$100,000 - $500,000 1.000%
$500,000 - $1,000,000 1.000%
$1,000,000 - $2,500,000 1.000%
$2,500,000 - $5,000,000 1.000%
$5,000,000 and above 1.000%

Please refer to Simplified Prospectus Part A for more details on CI Prestige Pricing


Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing.  The performance data provided assumes reinvestment of distributions only and does not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns.  Please note that mutual fund securities are not covered by the Canada Deposit Insurance Corporation or by any other government deposit insurer. There can be no assurances that the fund will be able to maintain its net asset value per security at a constant amount or that the full amount of your investment in the fund will be returned to you. Past performance may not be repeated.

The annualized historical yield shown is based on the average return over seven-day period ended on 2025-04-29 (net of fees and expenses payable by the fund) and does not represent an actual one-year return. The rates of return are used only to illustrate the effects of the compound growth rate and are not intended to reflect future values or returns on investment in an investment fund. 

The “Growth of $10,000 invested” chart shows the final value of a hypothetical $10,000 investment in securities in this class/series of the fund as at the end of the investment period indicated and is not intended to reflect future values or returns on investment in such securities.

The risk level of a fund has been determined in accordance with a standardized risk classification methodology in National Instrument 81-102, that is based on the fund’s historical volatility as measured by the 10-year standard deviation of the fund’s returns.  Where a fund has offered securities to the public for less than 10 years, the standardized methodology requires that the standard deviation of a reference mutual fund or index that reasonably approximates the fund’s standard deviation be used to determine the fund’s risk rating.  Please note that historical performance may not be indicative of future returns and a fund’s historical volatility may not be indicative of future volatility.

Management Expense Ratio (“MER”) represents the trailing 12-month management expense ratio, which reflects the cost of running the fund, inclusive of applicable taxes including HST, GST and QST (excluding commissions and other portfolio transaction costs) as a percentage of daily average net asset value the period, including the fund’s proportionate share of any underlying fund(s) expenses, if applicable. The MER is reported in each fund’s Management Report of Fund Performance (“MRFP”). MRFPs can be found within the Documents tab.

This information on this document is provided as a general source of information and should not be considered personal, legal, accounting, tax or investment advice, or an offer or a solicitation to buy or sell securities.  Every effort has been made to ensure that the material contained herein is accurate at the time of publication. Market conditions may change which may impact the information contained in this document.  

For major events that may affect the performance of a fund in the last 10 years, including its participation in an amalgamation or merger with another fund or a change in its investment objectives or portfolio advisor, please refer to the “Name, Formation and History of the Fund” section in the fund's most recently filed simplified prospectus.

CI Global Asset Management is a registered business name of CI Investments Inc.

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