Overview
Quick Facts
Daily Price
$10.9114
-0.17%
(-$0.02)
June 28, 2024
Summary Stats
Asset Class | Global Neutral Balanced |
---|---|
Risk | Low to Medium |
MER 1 | 2.32% |
Net Assets | $294.62 M |
Inception Date | May 25, 2021 |
Fund Status | Open |
Geographic Allocation |
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Fund Codes
F-Class, PSF
LL | — | — |
---|---|---|
FE | — | — |
NLCB4 | — | — |
NLCB2 | — | — |
F-Class | MPS4611 | Open |
PSF | MPS4619 | Open |
Front-end, NLCB (selected)
LL | — | — |
---|---|---|
FE | MPS4609 | Open |
NLCB4 | MPS4620 | SWO |
NLCB2 | MPS4503 | Open |
F-Class | — | — |
PSF | — | — |
Low-load
LL | MPS4610 | SWO |
---|---|---|
FE | — | — |
NLCB4 | — | — |
NLCB2 | — | — |
F-Class | — | — |
PSF | — | — |
Performance ±
Growth Chart
Total return for this timeframe
Compound Returns (%)
F-Class, PSF
1 month | 2.38 |
---|---|
3 months | 0.83 |
6 months | 7.84 |
YTD | 5.39 |
1 year | 14.87 |
3 years | 3.30 |
5 years | — |
10 years | — |
Inception | 3.55 |
Front-end, NLCB
1 month | 2.28 |
---|---|
3 months | 0.55 |
6 months | 7.24 |
YTD | 4.90 |
1 year | 13.60 |
3 years | 2.16 |
5 years | — |
10 years | — |
Inception | 2.41 |
Low-load
1 month | 2.27 |
---|---|
3 months | 0.50 |
6 months | 7.14 |
YTD | 4.82 |
1 year | 13.39 |
3 years | 1.97 |
5 years | — |
10 years | — |
Inception | 2.22 |
Calendar Returns (%)
F-Class, PSF
2021 | — |
---|---|
2022 | -18.12 |
2023 | 17.19 |
Front-end, NLCB
2021 | — |
---|---|
2022 | -19.02 |
2023 | 15.90 |
Low-load
2021 | — |
---|---|
2022 | -19.17 |
2023 | 15.69 |
Portfolio Allocation as of April 30, 2024
Asset Allocation (%)
Asset Allocation pie chart. See following table for detailed information. The pie slices display the relative value of each table entry.
Name | Weight % |
---|---|
Equities | 59.69 |
Fixed income | 34.00 |
Cash and equivalents | 6.58 |
Geographic Allocation (%)
Geographic Allocation pie chart. See following table for detailed information. The pie slices display the relative value of each table entry.
Name | Weight % |
---|---|
United States | 45.77 |
Canada | 25.87 |
United Kingdom | 9.10 |
Ireland | 2.88 |
Bermuda | 2.68 |
France | 1.94 |
Indonesia | 1.36 |
Netherlands | 1.16 |
New Zealand | 1.00 |
Australia | 0.89 |
Other | 7.34 |
Sector Allocation (%)
Sector Allocation pie chart. See following table for detailed information. The pie slices display the relative value of each table entry.
Name | Weight % |
---|---|
Information tech. | 24.20 |
Financials | 21.22 |
Industrials | 14.13 |
Communication serv. | 11.91 |
Consumer staples | 7.81 |
Health care | 6.52 |
Cons. discrectionary | 5.48 |
Utilities | 4.99 |
Energy | 3.73 |
Fixed Income Allocation (%)
Top 10 Holdings (%)
Name | Weight % |
---|---|
Microsoft Corp. | 2.89 |
Brookfield Corporation Vtg Shs Cl A | 2.84 |
Alphabet Inc. Cl A | 2.83 |
UnitedHealth Group Inc. | 2.79 |
Bunzl PLC Shs | 2.69 |
Brookfield Infrastructure Partners L.P. Partnership Units | 2.69 |
Berkshire Hathaway Inc. Cl B New | 2.66 |
Alimentation Couche-Tard Inc. | 2.65 |
Charter Communications Inc. Cl A | 2.62 |
Aon PLC Shs Cl A | 2.62 |