IA Clarington Global Equity GIF
Reduced MER (est.)
Key Reasons to Invest
- A core global approach that invests in larger companies outside of Canada that the manager believes have sustainable competitive advantages.
- The manager employs a disciplined investment process that focuses on identifying companies that typically pay a dividend by employing a bottom-up approach that focuses of fundamental valuation as well as an assessment of a country's competitive position, currency, and economic growth prospects.
- Differentiated portfolio of 25-40 of the portfolio manager’s best ideas operating in developed countries around the world that differs from the index.
Annual Rates of Return - %
Performance - %
|Rate of Return|
Average Annual Total Returns %
|Return of Capital|