IA Wealth Conservative Portfolio
Reduced MER (est.)
Key Reasons to Invest
- Balanced exposure to a target asset mix of 80% fixed-income securities and 20% equities, broadly diversified across asset classes, geography and sectors.
Active asset allocation managed by an experienced team rooted in economics, with underlying security selection by asset class specialists.
- Daily portfolio monitoring with ongoing rebalancing and currency management.
Annual Rates of Return - %
Performance - %
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Average Annual Total Returns %
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