CI Canadian Bond Guaranteed Investment Fund

NAVPS ($)

As at 2024-12-19

15.4923

Management fee (%)

1.35

MER (%)

As at 2024-06-30

3.06

Risk rating

  • Low
  • Low to Moderate
  • Moderate
  • Moderate to High
  • High

Fund codes

ISC 044 Hard capped
DSC 944 Hard capped

Total net assets ($CAD)

As at 2024-11-29

$494.04 thousand

RRSP

Eligible

Management team

John Shaw

SVP, Portfolio Manager – Fixed Income

Full bio

Grant Connor

VP, Portfolio Manager – Fixed Income

Full bio

ivar is the sole issuer of the annuity contracts providing for investment in CI Guaranteed Investment Funds and CI Legacy Funds. A description of the key features of the applicable annuity contract is contained in the CI Guaranteed Investment Funds or CI Legacy Funds Information Folder. Any amount that is allocated to a segregated fund is invested at the risk of the contract holder(s) and may increase or decrease in value. Please refer to the Legal section of www.ci.com for additional information. ™ivari and the ivari logos are trademarks of ivari Canada ULC. ivari is licensed to use such marks.