IA Clarington International Equity Fund
Reduced MER (est.)
Key Reasons to Invest
- Can complement conventional portfolios through equity investments across Europe, Australia, the Far East and emerging markets.
- Targets a portfolio of 65-75 securities, with broad diversification across sectors, industries and market capitalizations.
- The portfolio manager combines a top-down economic view with bottom-up fundamental security selection to identify stocks of companies that are growing faster than peers and offer relatively attractive valuations.
Annual Rates of Return - %
Performance - %
|Rate of Return|
Average Annual Total Returns %
|Return of Capital|