CI Canadian Bond Guaranteed Investment Fund

NAVPS ($)

As at 2023-09-29

14.1254

Management fee (%)

1.35

MER (%)

As at 2022-12-31

3.07

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 2023-08-31

$521.00 thousand

RRSP

Eligible

Management team

John Shaw

SVP, Portfolio Manager – Fixed Income

Full bio

Paul Marcogliese

SVP, Portfolio Manager – Fixed Income

Full bio

James Dutkiewicz

SVP, Head of 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.